94-14926. Medicare Program; Participation in CHAMPUS and CHAMPVA, Hospital Admissions for Veterans, Discharge Rights Notice, and Hospital Responsibility for Emergency Care  

  • [Federal Register Volume 59, Number 119 (Wednesday, June 22, 1994)]
    [Unknown Section]
    [Page 0]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 94-14926]
    
    
    [[Page Unknown]]
    
    [Federal Register: June 22, 1994]
    
    
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    DEPARTMENT OF HEALTH AND HUMAN SERVICES
    
    Health Care Financing Administration
    
    42 CFR Parts 405 and 489
    
    Office of Inspector General
    
    42 CFR Part 1003
    
    [BPD-393-IFC]
    RIN 0938-AC58
    
     
    
    Medicare Program; Participation in CHAMPUS and CHAMPVA, Hospital 
    Admissions for Veterans, Discharge Rights Notice, and Hospital 
    Responsibility for Emergency Care
    
    AGENCIES: Health Care Financing Administration (HCFA) and Office of 
    Inspector General (OIG).
    
    ACTION: Interim final rule with comment period.
    
    -----------------------------------------------------------------------
    
    SUMMARY: We are revising requirements for Medicare participating 
    hospitals by adding the following:
        A hospital must provide inpatient hospital services to individuals 
    who have health coverage provided by either the Civilian Health and 
    Medical Program of the Uniformed Services (CHAMPUS) or the Civilian 
    Health and Medical Program of the Veterans Administration (CHAMPVA), 
    subject to limitations provided by regulations that require the 
    hospital to collect the beneficiary's cost-share and accept payment 
    from the CHAMPUS/CHAMPVA programs as payment in full.
        A hospital must provide inpatient hospital services to military 
    veterans (subject to the limitations provided in 38 CFR 17.50 ff.) and 
    accept payment from the Department of Veterans Affairs as payment in 
    full.
        A hospital must give each Medicare beneficiary (or his or her 
    representative) at or about the time of admission, a written statement 
    of his or her rights concerning discharge from the hospital.
        A hospital (including a rural primary care hospital) with an 
    emergency department must provide, upon request and within the 
    capabilities of the hospital or rural primary care hospital, an 
    appropriate medical screening examination, stabilizing treatment and/or 
    an appropriate transfer to another medical facility to any individual 
    with an emergency medical condition, regardless of the individual's 
    eligibility for Medicare.
        The statute provides for the termination of a provider's agreement 
    for violation of any of these provisions.
        These revisions implement sections 9121 and 9122 of the 
    Consolidated Omnibus Budget Reconciliation Act of 1985 (as amended by 
    section 4009 of the Omnibus Budget Reconciliation Act of 1987), section 
    233 of the Veteran's Benefit Improvement and Health Care Authorization 
    Act of 1986, sections 9305(b)(1) and 9307 of the Omnibus Budget 
    Reconciliation Act of 1986, sections 6003(g)(3)(D)(xiv), 6018 and 6211 
    of the Omnibus Budget Reconciliation Act of 1989, and sections 4008(b), 
    4027(a), and 4027(k)(3) of the Omnibus Budget Reconciliation Act of 
    1990.
    
    DATES: Effective date: This interim final rule with comment period is 
    effective July 22, 1994, with the exception of the new information 
    collection and recordkeeping requirements contained in Sec. 488.18, 
    Sec. 489.20(m), Sec. 489.20(r)(2) and (3), and Sec. 489.24(d) and (g), 
    which are not yet approved by OMB under the Paperwork Reduction Act of 
    1980. Following OMB approval, a document will be published in the 
    Federal Register announcing the effective date for those sections.
        Comment date: Comments on changes to the June 16, 1988 proposed 
    rule resulting from provisions of the Omnibus Budget Reconciliation Act 
    of 1989 (OBRA 89) or the Omnibus Budget Reconciliation Act of 1990 
    (OBRA 90) will be considered if we receive them at the appropriate 
    address as provided below, no later than 5:00 p.m. on August 22, 1994. 
    These changes generally concern the responsibility of Medicare 
    participating hospitals in emergency cases. The specific new provisions 
    in this area from OBRA 89 and OBRA 90 are discussed in section II.D.2 
    of this preamble. We will also accept comments on Appendix II to this 
    interim final rule. Appendix II instructs hospitals with emergency 
    departments on their responsibilities concerning the posting of signs 
    specifying rights of individuals under section 1867 of the Act with 
    respect to examination and treatment for emergency medical conditions. 
    We will not consider comments on provisions that remain unchanged from 
    the June 16, 1988 proposed rule or on provisions that were changed 
    based on public comments.
    
    ADDRESSES: Mail comments (an original and three copies) to the 
    following address: Health Care Financing Administration, Department of 
    Health and Human Services, Attention: BPD-393-FC, P.O. Box 7517 
    Baltimore, MD 21207-0517.
        If you prefer, you may deliver your comments (an original and three 
    copies) to one of the following addresses:
    
    Room 309-G, Hubert H. Humphrey Building, 200 Independence Ave., SW., 
    Washington, DC 20201, or
    Room 132, East High Rise Building, 6325 Security Boulevard, Baltimore, 
    MD 21207.
    
        Because of staffing and resource limitations, we cannot accept 
    comments by facsimile (FAX) transmission. In commenting, please refer 
    to file code BPD-393-FC. Comments received timely will be available for 
    public inspection as they are received, generally beginning 
    approximately 3 weeks after publication of a document, in Room 309-G of 
    the Department's offices at 200 Independence Avenue, SW., Washington, 
    DC, on Monday through Friday of each week from 8:30 a.m. to 5:00 P.M. 
    (Phone: 202-690-7890).
        If you wish to submit comments on the information collection 
    requirements contained in this interim final rule with comment period, 
    you may submit comments to: Allison Herron Eydt, HCFA Desk Officer, 
    Office of Information and Regulatory Affairs, Room 3002, New Executive 
    Office Building, Washington, DC 20503.
        Copies: To order copies of the Federal Register containing this 
    document, send your request to: New Orders, Superintendent of 
    Documents, P.O. Box 371954, Pittsburgh, PA 15250-7954. Specify the date 
    of the issue requested and enclose a check or money order payable to 
    the Superintendent of Documents, or enclose your Visa or Master Card 
    number and expiration date. Credit card orders can also be placed by 
    calling the order desk at (202) 783-3238 or by faxing to (202) 275-
    6802. The cost for each copy is $6.00. As an alternative, you may view 
    and photocopy the Federal Register document at most libraries 
    designated as U.S. Government Depository Libraries and at many other 
    public and academic libraries throughout the country that receive the 
    Federal Register.
    
    FOR FURTHER INFORMATION, CONTACT:
    
    Arlene Ford, 410-966-4617--For provisions relating to the beneficiary 
    statement of discharge rights.
    Tom Hoyer, 410-966-4607--For provisions relating to individuals with 
    emergency medical conditions.
    Lindsey Bramwell, 410-966-6747--For PRO provisions relating to 
    responsibilities to determine whether the individual involved had an 
    emergency medical condition that had not been stabilized.
    Joel Schaer, 202-619-0089--For OIG civil monetary penalty and physician 
    exclusion provisions relating to individuals with emergency medical 
    conditions.
    Beverly Christian, 410-966-4616--For provisions relating to 
    participation in the CHAMPUS/CHAMPVA and VA health care programs.
    Rose Sabo, 303-361-1178--For questions regarding CHAMPUS and CHAMPVA 
    programs.
    Wanda Elam, 202-535-7434--For questions regarding the Department of 
    Veterans Affairs health care program.
    
    SUPPLEMENTARY INFORMATION:
    
    I. Background
    
        On June 16, 1988, we published a proposed rule concerning 
    participation in the CHAMPUS and CHAMPVA programs, hospital admissions 
    for veterans, a requirement for a discharge rights notice, and hospital 
    responsibility for emergency care (53 FR 22513). Below is a discussion 
    of the issues for which we proposed regulations.
    
    A. Participation in the CHAMPUS and CHAMPVA Programs
    
        CHAMPUS (Civilian Health and Medical Program of the Uniformed 
    Services) and CHAMPVA (Civilian Health and Medical Program of the 
    Veterans Administration) programs pay for health care services 
    furnished to dependents and survivors of military personnel, to 
    retirees and their dependents, and to veterans. Generally, the programs 
    have paid hospitals based on the hospital's charges. Section 931 of the 
    Department of Defense Authorization Act, 1984 (Pub. L. 98-94), 
    authorized these programs to pay (to the extent practicable) for 
    inpatient hospital services using Medicare payment procedures. Because 
    the Medicare prospective payment system (the system whereby we pay a 
    hospital a predetermined amount based on the patient's diagnosis and 
    any surgical procedures performed, rather than by the number of days 
    hospitalized) results in Medicare cost savings, the Department of 
    Defense (DoD) expected to realize similar savings if it were to use a 
    model similar to Medicare's prospective payment system. Paying on the 
    basis of a fixed rate appropriate to the particular diagnosis involved 
    has been shown to be an equitable method of paying for hospital care. 
    Therefore, the Office of Civilian Health and Medical Program of the 
    Uniformed Services (OCHAMPUS) published a final rule on September 1, 
    1987, that included provisions for the implementation of a DRG-based 
    payment system modeled after Medicare's prospective payment system for 
    CHAMPUS inpatient hospital admissions occurring on or after October 1, 
    1987 (52 FR 32992).
        Hospitals that furnish services to CHAMPUS and CHAMPVA 
    beneficiaries are authorized to provide services to these beneficiaries 
    following an approval process similar to that used for Medicare 
    participation. Generally, that means the hospital is licensed and 
    accredited by the Joint Commission on Accreditation of Healthcare 
    Organizations (JCAHO), and otherwise meets CHAMPUS requirements. A 
    hospital certified and participating under Medicare may be deemed to 
    meet CHAMPUS requirements.
        ``Participation'' has a different meaning for CHAMPUS and CHAMPVA 
    than for Medicare. Providers have been able to decide on a claim-by-
    claim basis whether to ``participate'' in the program and thus accept 
    the CHAMPUS/CHAMPVA-determined allowable amount, plus the patient cost-
    share, as payment in full. Beneficiaries are required to pay a cost-
    share for each hospital admission. The CHAMPUS/CHAMPVA payment, plus 
    the beneficiary's cost-share, constitute payment in full for the 
    covered services when the provider signs and submits an appropriately 
    completed program claim form that indicates participation. Under 
    Medicare, hospitals must agree to bill the program for all 
    beneficiaries and accept the CHAMPUS/CHAMPVA payment as payment in full 
    (less applicable deductibles, coinsurance amounts, and noncovered 
    items).
        As indicated above, Medicare hospitals also may be authorized 
    providers in CHAMPUS and CHAMPVA on the basis of their JCAHO-approved 
    status or may be deemed authorized providers based on their Medicare-
    approved status. The benefits to the DoD of requiring the providers to 
    be paid either under a DRG-based payment system or based on reasonable 
    cost are lost, however, if the hospitals can selectively participate in 
    the CHAMPUS and CHAMPVA programs.
        Under section 9122 of the Consolidated Omnibus Budget 
    Reconciliation Act of 1985 (COBRA), Pub. L. 99-272, all Medicare 
    hospitals are now required, beginning January 1987, to participate in 
    CHAMPUS or CHAMPVA as authorized providers (that is, they must bill 
    CHAMPUS or CHAMPVA and accept the CHAMPVA/CHAMPUS-determined allowable 
    amount as payment in full, less applicable deductible, patient cost-
    share, and noncovered items).
    
    B. Participation in the Department of Veterans Affairs (VA) Health Care 
    Program
    
        Broadly speaking, a veteran can only receive services from a non-VA 
    hospital for a service-connected disability when there is a medical 
    emergency or when a VA facility is not available. In such cases, the VA 
    in the past paid for the services based on usual and customary charges.
        As this type of payment is more expensive than payment made on a 
    prospective basis or based on reasonable costs, the VA has implemented 
    a national prospective payment system.
        To alleviate hospital expenses for the VA, Congress passed section 
    233 of the Veterans' Benefit Improvement and Health-Care Authorization 
    Act of 1986 (Pub. L. 99-576). This section requires Medicare hospitals 
    to be participating providers of medical care to veterans eligible to 
    receive care at the hospital. The hospital then receives payment for 
    the services under the applicable VA payment system, in accord with the 
    recent regulations concerning the payment methodology and amounts that 
    the VA provides for those hospitals that furnish inpatient hospital 
    care to veterans whose care has been authorized or will be sponsored by 
    the VA (55 FR 42848). This rule was developed jointly by VA and HHS, 
    and the VA payment system conforms to Medicare's hospital inpatient 
    prospective payment system in most cases.
    
    C. Statement of Beneficiary Rights
    
        After the prospective payment system became effective for the 
    Medicare program, we began to hear allegations that Medicare 
    beneficiaries were discharged too early from the hospital. We also 
    began to receive complaints that patients did not understand their 
    rights as Medicare beneficiaries in cases in which they were advised 
    that discharge was appropriate but they disagreed. On April 17, 1985, 
    we revised 42 CFR 466.78(b)(3) to require all hospitals to provide 
    Medicare beneficiaries with information about Utilization and Quality 
    Control Peer Review Organization (PRO) review, including beneficiary 
    appeal rights (50 FR 15331). In further response to concerns about 
    early discharges and lack of adequate appeal information, we began 
    requiring all hospitals to furnish each Medicare beneficiary upon 
    admission a specific statement developed by HCFA (that is, ``An 
    Important Message from Medicare'' (see Appendix I)) telling a 
    beneficiary of his or her rights to be fully informed about decisions 
    affecting Medicare coverage or payment and about his or her appeal 
    rights in response to any hospital's notice to the effect that Medicare 
    will no longer cover the care. The ``Message'' we developed also 
    advises the patient of what to do when he or she receives such a 
    hospital statement and how to elicit more information. The requirements 
    relating to ``An Important Message from Medicare'' were incorporated 
    into the program's operating instructions.
        Congress subsequently passed section 9305(b) of the Omnibus Budget 
    Reconciliation Act of 1986 (OBRA 86). Now, as part of its participation 
    agreement with Medicare, each hospital (including those not paid under 
    the prospective payment system) must agree to furnish each Medicare 
    beneficiary with a notice, at or about the time of admission, that 
    explains the patient's rights in detail.
    
    D. Responsibilities of Medicare Participating Hospitals in Emergency 
    Cases
    
        Hospitals that choose to participate in the Medicare program agree 
    in writing to meet various requirements included in section 1866 of the 
    Social Security Act (the Act). Before enactment of COBRA on April 7, 
    1986, the Act did not specifically address the issue of how hospitals 
    with emergency medical departments must handle individuals who have 
    emergency medical conditions or who are in labor.
        In its Report accompanying H.R. 3128, the House Ways and Means 
    Committee indicated that Congress was concerned about the increasing 
    number of reports that hospital emergency rooms were refusing to accept 
    or treat individuals with emergency conditions if the patients did not 
    have medical insurance.
        In addition, the Report stated that there were reports that 
    individuals in an unstable condition were transferred improperly, 
    sometimes without the consent of the receiving hospital. Because 
    Congress believed that this situation may have worsened since the 
    Medicare prospective payment system for hospitals became effective, the 
    Report stated that the Committee ``wants to provide a strong assurance 
    that pressures for greater hospital efficiency are not to be construed 
    as license to ignore traditional community responsibilities and loosen 
    historic standards.'' (H.R. Rep. No. 99-241, 99th Cong., 1st Sess. 27 
    (1985).) Subsequently, section 9121 of COBRA, sections 
    6003(g)(3)(D)(XIV), 6018, and 6211 of the Omnibus Budget Reconciliation 
    Act of 1989 (OBRA 89), Pub. L. 101-239, and sections 4008(b), 4027(a), 
    and 4027(k)(3) of the Omnibus Budget Reconciliation Act of 1990 (OBRA 
    90), Pub. L. 101-508, have all addressed this concern.
    
    II. Legislation
    
    A. Participation in CHAMPUS and CHAMPVA Programs
    
        Section 9122 of COBRA amended section 1866(a)(1) of the Act by 
    adding a new paragraph (J), which requires hospitals in the Medicare 
    program to be participating providers of medical care, for inpatient 
    services only, under any health plan contracted for under 10 U.S.C. 
    1079 or 1086 (CHAMPUS) or under 38 U.S.C. 613 (CHAMPVA), in accordance 
    with admission practices and payment methodology and amounts as 
    prescribed under joint regulations issued by the Secretaries of Health 
    and Human Services, Defense, and Transportation. This requirement 
    applies to services furnished to CHAMPUS and CHAMPVA beneficiaries 
    admitted on or after January 1, 1987.
        (Section 9122 of COBRA also required that the legislation apply to 
    all agreements entered into on or after April 7, 1986, but this 
    requirement was deleted by section 1895(b)(6) of the Tax Reform Act of 
    1986 (Pub. L. 99-514), enacted October 22, 1986.)
    
    B. Participation in the Veterans Administration Health Care Program
    
        Section 233 of the Veterans' Benefit Improvement and Health-Care 
    Authorization Act of 1986 (Pub. L. 99-576) was enacted on October 28, 
    1986. It added a new paragraph (L) to section 1866 (a)(1) of the Act. 
    It requires hospitals that participate in Medicare to be participating 
    providers under 38 U.S.C. 603, in accordance with the admissions 
    practices, and payment methodology and amounts, prescribed under joint 
    regulations issued to implement this section by the Secretary of HHS 
    and the Administrator of the VA. This provision applies to services 
    furnished to veterans admitted on or after July 1, 1987.
    
    C. Statement of Beneficiary Rights
    
        Section 9305(b)(1) of OBRA 86, which was enacted on October 21, 
    1986, added a new paragraph (M) to section 1866(a)(1) of the Act. That 
    paragraph requires a hospital that is eligible to participate in the 
    Medicare program to agree to furnish a beneficiary, or an individual 
    acting on his or her behalf, at or about the time of admission, with a 
    written statement of the beneficiary's discharge rights. The statement 
    must explain:
        (a) The individual's rights to benefits for inpatient hospital 
    services and for posthospital services under Medicare;
        (b) The circumstances under which the individual will and will not 
    be liable for charges for continued stay in the hospital;
        (c) The individual's right to appeal denials of benefits for 
    continued inpatient hospital services, including the practical steps to 
    initiate the appeal;
        (d) The individual's liability for services if the denial of 
    benefits is upheld on appeal; and
        (e) Additional information that the Secretary specifies.
        Section 9305(b)(2) of OBRA 86 requires that we prescribe the 
    language to be used in the statement not later than 6 months after the 
    effective date of OBRA 86. After development of the revised language 
    for the statement required under OBRA 86, the hospitals must comply 
    with the requirement to give the revised statement to beneficiaries 
    upon admission.
    
    D. Responsibilities of Medicare Participating Hospitals in Emergency 
    Cases
    
        Set forth below is a summary of the current legislative provisions 
    concerning the responsibilities of Medicare participating hospitals 
    (including rural primary care hospitals) in emergency cases. This 
    legislative summary first sets forth the major provisions of section 
    1867 of the Act, as originally enacted by COBRA on April 7, 1986, and 
    including all amendments that have occurred since that time. The 
    summary then describes separately the amendments made by OBRA 89 and 
    OBRA 90, which were enacted after the publication of the June 16, 1988, 
    notice of proposed rulemaking.
    1. Current Provisions
        Section 9121 of COBRA added a paragraph (I) to section 1866(a)(1) 
    of the Act and added a new section 1867 to the Act. As amended, these 
    sections prohibit hospitals (including rural primary care hospitals) 
    with emergency medical departments from refusing to treat individuals 
    with unstable emergency medical conditions and also contain provisions 
    designed to halt the inappropriate transfers of these individuals to 
    other medical facilities.
    
    
        (Note: For purposes of this preamble, all further references to 
    ``hospital'' in the context of a ``Hospital's Responsibility for 
    Emergency Care'' include rural primary care hospitals.)
    
    
        Section 1866(a)(1)(I) of the Act requires that a hospital 
    participating in the Medicare program must agree to comply with the 
    requirements of section 1867 of the Act to the extent applicable. 
    Section 1867 of the Act currently provides the following:
         A hospital with an emergency department must, within the 
    capabilities of its emergency department (including ancillary services 
    routinely available to the emergency department), provide an 
    appropriate medical screening examination to any individual who comes 
    to the emergency department for examination or treatment of a medical 
    condition and on whose behalf the examination or treatment is 
    requested; the purpose of the examination is to determine whether the 
    individual has an emergency medical condition. This requirement applies 
    regardless of the individual's eligibility for Medicare benefits.
         If an individual, regardless of eligibility for Medicare 
    benefits, has an emergency medical condition, the hospital must either 
    provide for further examination and treatment (within its capabilities) 
    to stabilize the medical condition or make an appropriate transfer, 
    with a proper certification, of the individual to another medical 
    facility, unless the treatment or transfer is refused.
         A hospital may not transfer an individual unless--
    
        + --The individual, or a legally responsible person acting on his 
    or her behalf, requests the transfer, or
    
     --A physician, or other qualified medical personnel, after consulting 
    with a physician (who later countersigns the certification because a 
    physician is not physically present in the emergency department), has 
    certified that the medical benefits expected from the treatment at the 
    receiving facility outweigh the increased risks to the individual and, 
    in the case of labor, to the unborn child, from effecting the transfer; 
    and
    
        + The transfer is an ``appropriate transfer'', that is, a 
    transfer--
    
    --Where the transferring hospital provides the medical treatment within 
    its capacity that minimizes the risks to the individual's health and, 
    in the case of a woman in labor, the health of the unborn child;
    --In which the receiving facility has available space and qualified 
    personnel for the treatment of the individual and has agreed to accept 
    the transfer and to provide appropriate medical treatment;
    --In which the transferring hospital sends to the receiving facility 
    all appropriate medical records (or copies) available at the time of 
    transfer that are related to the emergency condition for which the 
    individual has presented including records related to the individual's 
    emergency medical condition, observation of signs or symptoms, 
    preliminary diagnosis, treatment provided, results of any tests and 
    informal written consent or certification (or copies), and the name and 
    address of any on-call physician who has refused or failed to appear 
    within a reasonable time to provide necessary stabilizing treatment;
    --In which the transfer is effected through qualified personnel and 
    transportation equipment, as required, including the use of necessary 
    and medically appropriate life support measures during the transfer; 
    and
    --That meets other requirements as the Secretary may find necessary in 
    the interest of the health and safety of the patient.
    
         A hospital that fails to meet the requirements of section 
    1867 of the Act--
        + Is subject to termination of its Medicare provider agreement if 
    it fails to comply with section 1867; and
        + Is subject to civil monetary penalties if it negligently violates 
    section 1867 of the Act. The penalty cannot exceed $25,000 for each 
    violation committed between August 1, 1986 (the effective date of the 
    statute) and December 21, 1987, or $50,000 for violations on or after 
    December 22, 1987. (The amount was raised by section 4009(a)(1) of the 
    Omnibus Budget Reconciliation Act of 1987 (OBRA 87), Pub. L. 100-203, 
    effective December 22, 1987.)
    
    (Exception: If the hospital has fewer than 100 State-licensed, 
    Medicare-certified beds, then the maximum civil monetary penalty is 
    $25,000. See discussion of section 4008 of OBRA 90 below.)
    
         Each physician who is responsible for the examination, 
    treatment or transfer of an individual (including a physician who is 
    on-call for the care of such individual) is also subject to a civil 
    money penalty of not more than $25,000 for each violation ($50,000 for 
    violations on or after December 22, 1987), including--
        + The signing of transfer certifications if the physician knew or 
    should have known that the benefits of transfer did not outweigh the 
    risks, and
        + Misrepresenting an individual's condition or other information, 
    including a hospital's obligations under this section.
        A physician may also be excluded from participation in the Medicare 
    and State health care programs for a violation that is gross and 
    flagrant or repeated.
         If a hospital violates the requirements of section 1867 of 
    the Act and a patient suffers personal harm as a direct result, he or 
    she may, in a civil action against the participating hospital, obtain 
    damages for personal injury under the law of the State in which the 
    hospital is located and may obtain such equitable relief as is 
    appropriate.
         Any medical facility that suffers a financial loss as a 
    direct result of a participating hospital's violation of section 1867 
    of the Act may obtain damages available in a civil action against the 
    participating hospital, under the law of the State in which the 
    hospital is located, and may obtain such equitable relief as is 
    appropriate.
         No civil action to obtain damages, as described above, may 
    be brought more than 2 years after the date of the violation with 
    respect to which the action is brought.
         The following terms are defined for purposes of section 
    1867 of the Act: ``emergency medical condition,'' ``hospital,'' 
    ``participating hospital,'' ``to stabilize,'' ``stabilized,'' and 
    ``transfer.''
         The provisions of section 1867 of the Act do not preempt 
    any State or local law except where they directly conflict.
         Participating hospitals are not to delay a medical 
    screening examination or treatment to ask about an individual's status 
    or method of payment.
         Participating hospitals with specialized capabilities or 
    facilities are obligated to accept the appropriate transfer of an 
    individual requiring such services if the hospital has the capacity to 
    treat them.
         Except when a delay would jeopardize the health and safety 
    of individuals, or when there was no screening examination, the 
    appropriate PRO will assess whether the individual had an emergency 
    condition that had not been stabilized before the Office of Inspector 
    General (OIG) imposes a civil monetary penalty or exclusion.
         Hospitals are required, among other things, to maintain 
    medical and other records related to individuals transferred to and 
    from a hospital for a period of 5 years from the transfer date. Each 
    hospital must maintain a list of on-call physicians available to 
    provide stabilizing treatment. Each hospital must also post a 
    conspicuously placed sign in its emergency department that lists the 
    individuals' rights regarding their examination and treatment.
         Hospitals are not to penalize or take an adverse action 
    against a physician or a qualified medical person who refused to 
    authorize the transfer of an unstabilized individual with an emergency 
    medical condition or against a hospital employee because the employee 
    reported a violation.
    2. Summary of the Related OBRA 89 and OBRA 90 Provisions
        Set forth below is a brief summary of the new and revised 
    provisions from OBRA 89 (enacted December 19, 1989) and OBRA 90 
    (enacted November 5, 1990) that were added to strengthen and clarify 
    the requirements concerning the examination, treatment and transfer of 
    individuals with emergency medical conditions.
    
    a. OBRA 89 Provisions
    
         Rural primary care hospitals. A new category of provider, 
    rural primary care hospitals, was established (section 6003(g)(3) of 
    OBRA 89). Only facilities currently certified as hospitals and not in 
    violation of any conditions of participation (42 CFR part 482) could be 
    designated by the Secretary as rural primary care hospitals.
         Compliance requirements (section 6018 of OBRA 89). 
    Hospitals are required to--
        + Adopt and enforce a policy to ensure compliance with section 1867 
    of the Act;
        + Maintain medical and other records related to individuals 
    transferred to or from a hospital for a period of 5 years from the 
    transfer date; and
        + Maintain a list of on-call physicians available for duty to 
    provide treatment needed to stabilize an individual with an emergency 
    medical condition.
         Posted information (section 6018 of OBRA 89). 
    Participating hospitals must post conspicuously in their emergency 
    departments--
        + A sign listing the rights of individuals under section 1867 of 
    the Act regarding examination and treatment for emergency medical 
    conditions; and
        + Information indicating whether the facility participates in the 
    Medicaid program under a State plan approved under title XIX of the 
    Act.
        Both posted items are to be in a form specified by the Secretary.
         Additional requirements for Medicare participating 
    hospitals with emergency departments (section 6211 of OBRA 89).
        + The medical screening requirement was changed to indicate that 
    the capability of the facility's emergency department includes 
    ``ancillary services routinely available to the emergency department.''
        + Participating facilities are now required to inform each 
    individual (or a person acting on his or her behalf) of the risks and 
    benefits to the individual of examination and treatment and/or 
    transfer, and to ``take all reasonable steps to secure the individual's 
    (or person's) written informed consent to refuse such examination and 
    treatment'' and/or transfer.
        + Changes were made relating to the restrictions on transfers to 
    include--
    
    --A requirement that participating facilities obtain written requests 
    for transfer to another medical facility after informing individuals 
    (or legally responsible persons acting on their behalf) of the 
    hospital's obligations and the risk of transfer;
    --An explicit statement that there should be consideration of the risks 
    and benefits to unborn children of women in labor in determining 
    whether the physician should certify that the benefits outweigh the 
    risks of transfer;
    --A requirement that transfer certifications by participating 
    facilities include a summary of the risks and benefits upon which the 
    certification is based;
    --A requirement that when a qualified medical person signs the 
    certification, it be done in consultation with a physician and that the 
    physician later countersign the certification;
    --A requirement that the hospital provide medical treatment within its 
    capacity to minimize the risks of transfer; and
    --A requirement that the transferring hospital include specified 
    documents in the medical records sent to receiving hospitals.
    
         Civil monetary penalties (section 6211(e) of OBRA 89).
        + Physicians, including on-call physicians, are subject to civil 
    monetary penalties and exclusion from Medicare and the State health 
    care programs for violations of section 1867 of the Act, including--
    --The signing of transfer certifications if the physician knew or 
    should have known that the benefits of transfer did not outweigh the 
    risks; or
    --Misrepresenting an individual's condition or other information on the 
    transfer certification.
    
        + A participating facility or an on-call physician is subject to a 
    penalty if the on-call physician fails or refuses to appear within a 
    reasonable period of time when notified by an emergency department 
    physician that his or her services are needed and the emergency 
    physician orders a transfer because he or she determines that without 
    the services of the on-call physician the benefits of transfer outweigh 
    the risks of transfer.
         Specialty hospitals (section 6211(f) of OBRA 89). 
    Participating hospitals with special capabilities or facilities are 
    obligated to accept the appropriate transfer of an individual who 
    requires such specialized capabilities or facilities if the hospital 
    has the capacity to treat the individual.
         No delay in examination or treatment (section 6211(f) of 
    OBRA 89). Participating hospitals are not to delay the provision of a 
    medical screening examination, treatment, or both, to inquire about the 
    individual's method of payment or insurance status.
         Whistleblower protections (section 6211(f) of OBRA 89). 
    Participating hospitals may not take action against a physician because 
    he or she refused to authorize the transfer of an unstabilized 
    individual with an emergency medical condition.
         Definitions.
        + The term ``responsible physician'' is no longer used in section 
    1867(d) of the statute. It was changed to ``a physician who is 
    responsible for the examination, treatment or transfer of an 
    individual'' under section 1867(d)(1)(B) of the Act. (Section 
    6211(e)(1) of OBRA 89.)
        + The term ``patient'' was replaced with the term ``individual.'' 
    (Section 6211(g) of OBRA 89.)
        + The term ``emergency medical condition'' now includes a pregnant 
    woman who is having contractions, either when there is inadequate time 
    to effect safe transfer, or when the transfer may pose a threat to the 
    health or safety of a pregnant woman or her unborn child. The term 
    ``active labor'' was deleted. (Section 6211(h) of OBRA 89.)
        + The terms ``to stabilize'' and ``stabilized'' now take into 
    account what might occur during a transfer and explicitly extend the 
    protection of section 1867 of the Act to a pregnant woman until 
    delivery (including the delivery of the placenta). (Section 6211(h) of 
    OBRA 89.)
        All of the provisions described above were effective beginning July 
    1, 1990, with the exception of the definition of the term ``rural 
    primary care hospital'', which was effective upon enactment.
    
    b. OBRA 90 Provisions
    
         Civil monetary penalties.
        + The standard for liability for imposing civil monetary penalties 
    against hospitals and physicians was changed from ``knowingly'' to 
    ``negligently.'' (Sections 4008(b)(1) and 4027(a)(2) of OBRA 90.)
        + Hospitals with fewer than 100 State-licensed, Medicare-certified 
    beds are subject to a civil monetary penalty of not more than $25,000, 
    while all other hospitals remain subject to a maximum CMP of $50,000. 
    (Section 4008(b)(2) of OBRA 90.)
         Termination of hospital provider agreements (section 
    4008(b)(3) of OBRA 90).
        + The provision in section 1867(d)(1) of the Act that subjected 
    violating hospitals to termination or suspension of their Medicare 
    provider agreements was deleted.
        + Hospitals are now required, under section 1866(a)(1)(I)(i), to 
    adopt and enforce a policy to ensure compliance with the requirements 
    of section 1867 in order to participate in and receive payments under 
    the Medicare program.
         PRO assessment (section 4027(a)(1) of OBRA 90).
        + In considering allegations of violations, before the OIG imposes 
    a sanction, HCFA is required to request the appropriate PRO (with a 
    contract under part B of title XI) to assess whether the individual 
    involved had an emergency medical condition that had not been 
    stabilized, except when a delay would jeopardize the health and safety 
    of individuals.
        + The PRO must provide--
    
    --An assessment of the alleged violation to determine whether the 
    individual involved had an emergency medical condition that had not 
    been stabilized and a report of the violation to the Secretary;
    --Reasonable notice of the review to the physician and hospital 
    involved;
    --Within the time allotted by the Secretary, reasonable opportunity for 
    the affected physician and the hospital to discuss the case with the 
    PRO and to submit additional information before the PRO issues its 
    report. The Secretary will request such a review, except when delay 
    would jeopardize the health or safety of individuals or when there was 
    no screening examination, before effectuating a sanction. When a delay 
    would not jeopardize the health or safety of individuals, the PRO will 
    have at least 60 calendar days to complete its review.
    
         Standard for excluding physicians (section 4027(a)(3) of 
    OBRA 90). The standard for excluding physicians, including on-call 
    physicians, from participation in the Medicare and State health care 
    programs was changed from ``knowing and willful or negligent'' to 
    ``gross and flagrant or is repeated.''
         Revised whistleblower protections (section 4027(k)(3) of 
    OBRA 90). The prohibition of a hospital from penalizing or taking 
    adverse action against a physician because he or she refused to 
    authorize the transfer of an unstabilized individual with an emergency 
    medical condition was extended to protect a qualified medical person. 
    Also, a hospital is prohibited from taking action against a hospital 
    employee because the employee reported a violation of these 
    requirements.
         Drafting errors. We note that the drafters of OBRA 90 
    misnumbered the section following section 4206, calling it section 
    4027. The drafters also misnumbered the subsections of section 4027, so 
    that what should have been section 4027(k) was misnumbered as section 
    4027(m). The error in misnumbering the subsections was corrected 
    between the submission of the conference report and the enrolled bill, 
    Pub. L. 101-508. The error in misnumbering the section was not 
    corrected, however. Therefore, the correct section numbers at present 
    for the relevant sections of OBRA 90 are 4008(b), 4027(a) and 
    4027(k)(3). The above provisions were effective May 1, 1991, with the 
    exception of the provisions of section 4027(a)(1), which were effective 
    February 1, 1991, and the provisions of section 4027(k)(3), which were 
    effective upon enactment.
    
    III. Proposed Regulations
    
        As noted earlier, on June 16, 1988 (53 FR 22513), we published a 
    notice of proposed rulemaking to implement the legislative changes 
    enacted before that date. Following is a summary of that proposal.
    
    A. Participation in CHAMPUS and CHAMPVA Programs
    
        We proposed to revise Sec. 489.20, Basic commitments, to show that 
    a participating Medicare hospital must agree to participate in the 
    CHAMPUS and CHAMPVA programs and accept payment from the CHAMPUS/
    CHAMPVA program as payment in full in accordance with a new 
    Sec. 489.25, which incorporates statutory provisions.
        In new Sec. 489.25, we would require Medicare participating 
    hospitals to be participating providers in the CHAMPUS and CHAMPVA 
    programs. We proposed to require the hospitals to comply with DoD 
    regulations governing admissions practices and payment methodology and 
    amounts for such services. As noted above, CHAMPUS published a final 
    rule on September 1, 1987, that contains provisions for the 
    implementation of a DRG-based payment system. We would continue the 
    policy that hospitals participating in CHAMPUS and CHAMPVA that also 
    participate in Medicare must meet all Medicare conditions of 
    participation. Thus, if CHAMPUS or CHAMPVA have requirements for 
    participating that differ from Medicare's, Medicare's requirements also 
    would have to be met.
        We proposed to require hospitals to accept payment from CHAMPUS/
    CHAMPVA programs as payment in full for the services provided to these 
    beneficiaries (less applicable deductible, patient cost-share, and 
    noncovered items).
        In addition, we intended to add a new paragraph (11) to 
    Sec. 489.53, Terminations by HHS, to show that a hospital that does not 
    meet the requirements of Sec. 489.25 would be subject to possible 
    termination.
        The proposed changes would apply only to inpatient hospital 
    services furnished to beneficiaries admitted on or after January 1, 
    1987.
    
    B. Participation in the Department of Veterans Affairs (VA) Health Care 
    Program
    
        To implement section 233 of Pub. L. 99-576, we proposed to add a 
    new Sec. 489.26. Hospitals do not enter into participation agreements 
    with the Department of Veterans Affairs program as they do if they 
    choose to participate in the Medicare program or the CHAMPUS or CHAMPVA 
    programs. Instead, the VA authorizes payment for the treatment, usually 
    on a preadmission basis at a designated hospital that furnishes the 
    service. We proposed to require a Medicare participating hospital to 
    admit any veteran whose hospitalization is authorized by the VA under 
    38 U.S.C. 603 (this includes emergency cases, which may be authorized 
    after admission). The hospital would have to meet the requirements of 
    38 CFR Part 17 regarding admission practices and payment methodology 
    and amounts published October 24, 1990 (55 FR 42848). This arrangement 
    would not affect the hospital's need to meet all Medicare hospital 
    conditions of participation.
        We also proposed to revise Sec. 489.20, Basic commitments, to 
    require hospitals to admit veterans whose admission is authorized under 
    38 U.S.C. 603 and to meet the requirements of Sec. 489.26.
        We also proposed to revise Sec. 489.53, Termination by HCFA, to 
    show that HHS may terminate any hospital that fails to meet the 
    requirements of Sec. 489.26.
        The proposed regulations would apply to inpatient services 
    furnished to veterans admitted on or after July 1, 1987.
    
    C. Statement of Beneficiary Rights
    
        We proposed to add a new Sec. 489.27, to require participating 
    hospitals that furnish inpatient hospital services to Medicare 
    beneficiaries to give every beneficiary (or individual acting on his or 
    her behalf) at or about the time of admission the publication ``An 
    Important Message from Medicare.'' We did not specify the contents of 
    the ``Message'' in the proposed rule, as hospitals are not responsible 
    for writing it. We have distributed and will continue to distribute to 
    hospitals the language of the ``Message'' that they are to use. A copy 
    of the ``Message'' is included as Appendix I to this interim final 
    rule.
        We proposed to require hospitals to obtain a separate signed 
    acknowledgment from the beneficiary attesting to the receipt of ``An 
    Important Message from Medicare'' and to retain a copy of the 
    acknowledgment. Effective with admissions on and after March 24, 1986, 
    PROs were required to monitor each hospital to assure that the hospital 
    distributes ``An Important Message from Medicare'' to all Medicare 
    beneficiaries. Therefore, we proposed to require the hospital to obtain 
    the beneficiary's separate, signed acknowledgment attesting to the 
    receipt of the ``Message'' and to retain a copy of the acknowledgment.
        We also proposed to revise Sec. 489.20, Basic commitments, to show 
    that a hospital must distribute ``An Important Message from Medicare''.
        We planned to add a new paragraph (12) to Sec. 489.53, Terminations 
    by HHS, to show that a hospital failing to meet the requirements of 
    Sec. 489.27 may be terminated. Whether or not HHS would terminate a 
    provider would depend on HCFA's judgment as to the scope of the failure 
    and the hospital's correction or plan for correction of the failure. We 
    did not anticipate any hospital opposition to the requirement that the 
    ``Message'' be distributed. We believe we already have full cooperation 
    from hospitals.
        The revisions were to apply only to Medicare admissions beginning 
    after we distributed ``An Important Message from Medicare''.
    
    D. Hospital Emergency Care
    
        The revisions to the regulations we proposed on June 16, 1988 would 
    have been revisions and additions to 42 CFR Part 489, Provider 
    Agreements under Medicare, and revisions to 42 CFR Part 1001, Program 
    Integrity--Medicare, and Part 1003, Civil Money Penalties and 
    Assessments. Basically, the proposed provisions paralleled the 
    statutory requirements that were then in effect. We note that, as 
    discussed above in section II.D. of this preamble, OBRA 89 and OBRA 90 
    included amendments to section 1867 of the Act.
    1. Requirements for Hospitals With Emergency Care Departments
         We proposed to revise Sec. 489.20, which discusses basic 
    commitments, by adding a new paragraph to require hospitals with 
    emergency departments, as part of their participation agreement, to 
    agree to comply with the new Sec. 489.24, which incorporates the 
    statutory requirements.
         We proposed to add a new section Sec. 489.24, Special 
    responsibilities of Medicare hospitals in emergency cases, to set forth 
    requirements for emergency cases for all hospitals that have provider 
    agreements with Medicare. We planned to require a hospital to take the 
    following measures:
        + Medical screening requirement--
        For any individual, regardless of his or her eligibility for 
    Medicare, for whom emergency treatment or examination is requested, we 
    proposed to require a hospital with an emergency department to provide 
    for an appropriate medical screening examination within the emergency 
    department's capability to determine whether an emergency medical 
    condition exists or whether the individual is in active labor, as 
    defined below. The examinations would be conducted by individuals 
    determined qualified by hospital by-laws and who meet the requirements 
    of Sec. 482.55, which are that emergency services be supervised by a 
    qualified member of the medical staff and that there be adequate 
    medical and nursing personnel qualified in emergency care to meet the 
    written emergency procedures and needs anticipated by the facility. We 
    proposed to allow hospitals maximum flexibility in their utilization of 
    emergency care personnel by not including specific requirements 
    concerning education or credentials for individuals conducting 
    emergency medical examinations.
        + Necessary stabilizing treatment for emergency medical conditions 
    and active labor--
        If the individual has an emergency medical condition or is in 
    active labor, we proposed that the hospital be required to provide 
    either further medical examination and treatment to stabilize the 
    medical condition or treatment of the labor or transfer the individual 
    appropriately to another medical facility. We would not hold the 
    hospital responsible if the individual, or a legally responsible person 
    acting on the individual's behalf, refuses to consent in writing to the 
    further examination and treatment or the appropriate transfer to 
    another hospital.
        Under these provisions, the hospital would be responsible for 
    treating and stabilizing any individual, regardless of eligibility for 
    Medicare, who presents himself or herself with an emergency condition 
    at the hospital, and for providing such care until the condition ceases 
    to be an emergency or until the individual is properly transferred to 
    another facility. We interpreted this to mean, for example, that if a 
    hospital were to admit and then transfer an individual before his or 
    her condition is stabilized, except as provided below, it would be a 
    violation of section 1867 of the Act.
        + Transfers and restrictions--
        If an individual at a hospital has an emergency medical condition 
    that has not been stabilized or the individual is in active labor, the 
    hospital could not appropriately transfer the individual unless one of 
    the following conditions exist:
    
    --The individual (or a legally responsible person acting on the 
    individual's behalf) requests the transfer.
    --A physician (or other qualified medical personnel if a physician is 
    not readily available in the emergency department) has certified in 
    writing that, based upon the reasonable risks and benefits to the 
    individual and the information available at the time, the medical 
    benefits reasonably expected from the provision of appropriate medical 
    treatment at the other facility outweigh the increased risks to the 
    individual's medical condition from the transfer.
    
        We considered a transfer to be appropriate only if the receiving 
    medical facility has available space and qualified personnel for the 
    treatment of the individual and has agreed to accept the transfer of 
    the individual and to provide appropriate medical treatment. The 
    transferring hospital would have to furnish the receiving medical 
    facility with timely appropriate medical records (for example, copies 
    of the available history, examination, and treatment records as well as 
    any available reports of diagnostic studies performed). The patient 
    would have to be accompanied by qualified personnel during the 
    transfer; transportation arrangements would have to include the use of 
    necessary and medically appropriate life support measures.
        Although the statute authorized the Secretary to find that the 
    transfer must meet ``other requirements'' in the interest of the health 
    and safety of individuals transferred, we did not propose to adopt any. 
    We did, however, specifically invite public comment concerning any 
    ``other requirements'' the Secretary should consider adopting regarding 
    the health and safety of emergency department patients being 
    transferred between medical facilities.
         Definitions.
        We proposed to include in Sec. 489.24 the following definitions as 
    included in the statute, without interpretation--
        + ``Active labor'' means labor at a time when delivery is imminent, 
    there is inadequate time to effect safe transfer to another hospital 
    before delivery, or a transfer may pose a threat to the health and 
    safety of the patient or the unborn child.
        + An ``emergency medical condition'' means a medical condition 
    manifested by acute symptoms of sufficient severity (including severe 
    pain) that the absence of immediate medical attention could reasonably 
    be expected to result in: (a) Placing the patient's health in serious 
    jeopardy; (b) serious impairment to bodily functions; or (c) serious 
    dysfunction of any bodily organ or part.
        + ``To stabilize'' means, with respect to an emergency medical 
    condition, to provide the medical treatment of the condition necessary 
    to assure, within reasonable medical probability, that no material 
    deterioration of the condition is likely to result from the transfer of 
    the individual from a facility.
        + ``Stabilized'' means, with respect to an emergency medical 
    condition, that no material deterioration of the condition is likely, 
    within reasonable medical probability, to result from the transfer of 
    an individual from a facility.
        + ``Transfer'' means the movement (including the discharge) of a 
    patient to outside a hospital's facilities at the direction of any 
    person employed by (or affiliated or associated with, directly or 
    indirectly) the hospital, but it does not include moving a patient who 
    has been declared dead or who leaves the facility without the 
    permission of any person responsible for directing transfers.
        For the purpose of these definitions, the term ``hospital'' means a 
    Medicare facility certified as a hospital with its own provider number.
        We did not plan to define ``participating provider'' in part 489; 
    42 CFR 400.202 defines terms applicable to all of 42 CFR Chapter IV and 
    already defines ``provider''. A provider by definition agrees to 
    participate in Medicare. We proposed to add a definition of 
    ``participating hospital'' and the remaining statutory definition, that 
    of ``responsible physician'', to 42 CFR Chapter V (Parts 1001 and 
    1003), since these terms are used in conjunction with monetary 
    penalties, which is under the jurisdiction of the Office of Inspector 
    General. We discuss the proposed definition of ``responsible 
    physician'' below under ``Civil Monetary Penalties.''
         We proposed to amend 42 CFR Parts 489, 1001 and 1003 to 
    provide for types of sanctions that would be applied by the Department, 
    as appropriate--
        + Resolution of allegations and determination of liability.
        If the evidence available establishes that a hospital knowingly and 
    willfully, or negligently, failed to provide the appropriate screening 
    and treatment or transfer as explained above, it would be subject to 
    either termination of its provider agreement by HCFA in accordance with 
    section 1866(b) of the Act, or suspension of its provider agreement by 
    the OIG. In addition, the OIG could also impose civil monetary 
    penalties for knowing violations.
        When the Department receives a complaint, or any information or 
    allegation, to the effect that a Medicare hospital did not 
    appropriately comply with the emergency medical screening, stabilizing, 
    treatment or transfer requirements, HCFA would, upon receipt of all 
    available information and evidence, conduct sufficient review to 
    determine whether the complaint falls within the jurisdiction of 
    section 1867. If so, HCFA would consider the complaint a substantial 
    allegation and would investigate the allegation thoroughly.
        If complaints allege acts of discrimination in violation of the 
    civil rights laws, HCFA will refer them to the Office for Civil Rights. 
    In the case of other complaints, HCFA would send each complainant a 
    letter acknowledging receipt of the complaint, advising him or her of 
    his or her rights to consider independently the civil enforcement 
    provisions of section 1867 and stating that it will refer the complaint 
    to other agencies if, during the complaint investigation, it determines 
    that the matter falls under the jurisdiction of other agencies. Thus, 
    HCFA would refer a complaint to the Office for Civil Rights if it 
    determines that a hospital may be in violation of the Hill-Burton 
    Subpart G Community Service regulations at 42 CFR 124.603(b)(1), which 
    require Medicare participating hospitals that receive Hill-Burton 
    construction grants and loans to provide emergency medical services to 
    any person who resides (or, in the case of some hospitals, works) in 
    the hospital's designated health service area. HCFA would, of course, 
    inform complainants of the outcome of its investigations.
        HCFA would notify State Medicaid authorities, State licensing 
    bodies, the Office of Inspector General, appropriate PROs and the 
    Office for Civil Rights concerning all complaint investigations and all 
    termination actions.
        HCFA would determine whether the hospital knowingly and willfully, 
    or negligently, failed to comply with the requirement of Sec. 489.24 
    based on evidence of: (a) Inadequate treatment or treatment not being 
    provided; (b) patients in unstable condition or in active labor not 
    being properly transferred as defined in Sec. 489.24(d)(2); (c) the 
    hospital's actions, or lack of actions, causing a patient's or infant's 
    death or serious or permanent impairment to a patient's bodily 
    functions; or (d) a hospital's actions placing a patient's health in 
    serious jeopardy. HCFA would determine the hospital to have been 
    negligent if the hospital and its personnel failed to exercise care 
    that should normally be supplied to a patient experiencing an emergency 
    medical condition or active labor as defined in Sec. 489.24(b).
        + Termination of a provider agreement by HCFA.
        HCFA's termination authority under this provision was designed so 
    that quick action may be taken to protect Medicare beneficiaries and 
    other individuals from any potential harm. The termination of a 
    provider agreement was to be the initial action contemplated against a 
    hospital that knowingly and willfully, or negligently, failed to meet 
    the requirements set forth in Sec. 489.24. This section would allow for 
    the termination of the hospital's provider agreement under Medicare in 
    accordance with section 1866(b) of the Act. The termination requirement 
    was to be contained in Sec. 489.24(e). (The authority to terminate has 
    been delegated from HHS through the HCFA Administrator to HCFA Regional 
    Offices.)
        HCFA was to revise Sec. 489.53, Termination by HCFA, to include in 
    paragraph (b) failure to comply with the requirements of Sec. 489.24 as 
    a mandatory cause for termination of a provider agreement. HCFA would 
    also revise paragraph (c) to state that, if it determines that a 
    hospital is in violation of Sec. 489.24(a) through (d), HCFA would 
    usually consider the violation to pose an immediate and serious threat 
    to the health and safety of persons presenting themselves to the 
    hospital for emergency services and would terminate the hospital's 
    approval for Medicare participation within 2 days of the determination 
    unless the violation is corrected.
        In those instances in which HCFA determined that a hospital was in 
    violation of the requirements of the Act, it would initiate termination 
    action. When that action was resolved, HCFA would refer the case to the 
    OIG for possible imposition of civil monetary penalties. If the OIG, 
    upon further investigation, discovered past violations that did not 
    form the basis of the termination action, it could decide that a 
    sanction is warranted and exercise its authority to impose a suspension 
    against the reinstated provider. (See the next section.)
        In instances where HCFA found no violation, and therefore did not 
    take an action, the closed case would still be transmitted to the OIG. 
    If the OIG, upon reviewing the case file, believed that further case 
    development was warranted, it would be free to do so. If OIG's 
    investigation indicated that there were additional violations that were 
    not reflected in HCFA's case file, it would refer the new case 
    information back to HCFA with a recommendation on whether HCFA should 
    terminate the hospital's provider agreement based on the new findings.
        Whether or not HCFA took a termination action on a given case, all 
    investigated cases were to be referred to the OIG for possible 
    imposition of civil monetary penalties.
        + Suspension of a provider agreement by the OIG and imposition of 
    civil monetary penalties.
        We proposed for the OIG to suspend providers, impose monetary 
    penalties on violators and exclude responsible physicians. The proposed 
    rule stated that the OIG would not be precluded from suspending a 
    hospital if, upon further investigation, it determined there were 
    additional violations of section 1867 beyond those warranting the HCFA 
    termination that indicated a pattern of dumping more widespread than 
    initially believed by HCFA, or that additional instances of dumping 
    were so egregious that a penalty of suspension was appropriate. In 
    addition, the proposed rule stated that the OIG could also impose a 
    civil monetary penalty (of not more than $50,000 per violation) for a 
    hospital knowingly violating the screening, treatment and transfer 
    requirements of the statute and a civil monetary penalty (also of not 
    more than $50,000) against each responsible physician. The proposed 
    regulations also stated that, in addition to imposing civil monetary 
    penalties, the OIG may exclude the responsible physician from Medicare 
    participation for up to five years.
        Congress repealed the suspension authority in section 4008(b) of 
    OBRA 90.
         Civil enforcement.
        An individual who suffers personal harm, or a medical facility that 
    suffers a financial loss, as a direct result of the hospital's 
    violation of a requirement in Sec. 489.24, may bring a civil action, in 
    an appropriate Federal district court, against the hospital for damages 
    and other equitable relief as appropriate. No civil action may be 
    brought more than 2 years after the date of the violation. The Federal 
    district court will apply the law of the State in which the hospital is 
    located.
        We continue to believe that it was neither necessary nor 
    appropriate to revise the regulations to reflect this provision.
         Preemption of State law.
        The legislation provides that it does not preempt State or local 
    law except where there is a conflict with the statutory provision. 
    Since Federal law ordinarily supersedes State law where there is a 
    conflict, it was not necessary to propose this provision for the 
    regulations.
    2. Responsibilities of Hospitals Receiving Improperly Transferred 
    Individuals
        Preliminary findings of a study being conducted by the OIG 
    (``Patient Dumping After COBRA: Assessing the Incidences and the 
    Perspectives of Health Care Professionals'' (August 1988)) confirmed 
    that a number of individuals in unstable condition have been 
    transferred improperly and that the cases were not reported to HCFA. 
    Because we needed to know about all improper transfers, we proposed to 
    add new paragraphs Sec. 489.20(g) and Sec. 489.24(f) to require a 
    hospital that suspects it may have received an improperly transferred 
    individual to promptly report the matter to HCFA and to the State 
    survey agency. To be in compliance with this requirement, the receiving 
    hospital would have to report any suspected incident within 72 hours of 
    its occurrence; this requirement would appear in manual instructions.
        We also proposed to add material to Sec. 489.53(a) to show that 
    failure to report improper transfers may subject the receiving hospital 
    to termination of its provider agreement.
        In those instances in which HCFA determines that a hospital is in 
    violation of Sec. 489.20(g) and Sec. 489.24(f), we proposed to initiate 
    termination action.
    3. State Survey Agency Responsibilities
        The preliminary findings of the OIG study previously cited also 
    identified incidents of improper transfer being reported to the State 
    survey agency that were not then reported to HCFA.
        To assure that we are aware of all instances of improper transfer, 
    we also proposed to require the State survey agencies to report 
    promptly any credible complaints (that is, complaints that are specific 
    and detailed enough to be investigated) related to violations of 
    section 1867 of the Act. Therefore, we intended to revise Sec. 405.1903 
    (recodified as Sec. 488.18), Documentation of findings, by adding a new 
    paragraph (d) that would require State survey agencies to inform HCFA 
    of credible reports of violations of Sec. 489.24.
    
    IV. Comments and Responses
    
    A. Participation in the CHAMPUS, CHAMPVA and VA Health Care Programs
    
        We received comments from nine commenters concerning the CHAMPUS/
    CHAMPVA and VA issues. They were from hospitals, professional 
    organizations and one individual.
        Comment: Two commenters raised numerous issues relating to the 
    operations of the CHAMPUS/CHAMPVA programs and the operation of the 
    prospective payment system under those programs (CHAMPVA payments are 
    made under CHAMPUS' DRG-based payment system). The issues concerned 
    such items as the status of hospitals operating under demonstration 
    programs conducted by those programs, and the obligation of CHAMPUS/
    CHAMPVA patients for making cost-share amounts required under those 
    programs.
        Response: The purpose of these regulations is to require hospitals 
    that participate in Medicare to participate as well in the CHAMPUS/
    CHAMPVA and VA programs. These regulations do not relate to rules under 
    which those programs function and do not make any changes in their 
    operations. We have referred questions concerning operational issues to 
    appropriate administrative officials at OCHAMPUS who assure us that 
    providers who are participating in the CHAMPUS Reform Initiative area 
    will not be forced to accept payment less than the DRG amounts. They 
    also tell us that the adjusted standardized amount used in the CHAMPUS 
    DRG-based payment system contains a factor to reimburse hospitals for 
    CHAMPUS' share of the hospitals' bad debts. These regulations do not 
    change the beneficiary's obligation to pay required cost-share amounts.
        Comment: Four commenters stated that the provider's freedom of 
    choice in making management decisions of participating or not in these 
    additional programs would be taken away by implementing these 
    regulations.
        Response: The legislation clearly ties participation in Medicare to 
    acceptance, as well, of the CHAMPUS and CHAMPVA participation 
    responsibility. We recognize that this change in the law alters the 
    range of discretion that a hospital may have in selecting participation 
    options but the law offers no alternative to accepting all the programs 
    or declining to participate in Medicare.
        Comment: One commenter believed that, as a provider of services to 
    CHAMPUS/CHAMPVA and VA beneficiaries for many years, his institution 
    has the right to receive a notice of government action and have a 
    chance to respond to the government decision-making. He received no 
    notice of government action until reading this notice of proposed 
    rulemaking.
        Response: Under the Administrative Procedure Act (5 U.S.C. 553 et 
    seq.), it is the notice of proposed rulemaking that is the vehicle for 
    providing notice of this type of government action. Should a provider 
    be subject to termination for not being in compliance with requirements 
    added by this rule, we believe the procedures for termination by HCFA 
    located at Sec. 489.53 are fundamentally fair. These procedures include 
    our proposed rules under Sec. 489.53(a)(11) that allow HCFA to 
    terminate an agreement with any provider, if HCFA finds that the 
    provider no longer meets the appropriate conditions of participation 
    such as those found in new Sec. 489.25 or Sec. 489.26, which address 
    providing medical services to CHAMPUS/CHAMPVA or VA beneficiaries. 
    Before we find a hospital in violation, we expect, as discussed in the 
    preamble of the proposed rule, that efforts to resolve any problem will 
    have taken place. If problems are not resolved then the actual notice 
    of termination procedures listed in Sec. 489.53(c) will be initiated.
        Comment: Four commenters stated that third party payors, such as 
    Medicaid and CHAMPUS, pay smaller and smaller proportions of the costs 
    these hospitals incur in serving those covered by these programs. In 
    their view, if hospitals are to continue to provide full access, then 
    Congress, HCFA, the Department of Defense, and State governments must 
    recognize their responsibility to adequately finance the care that they 
    require to be provided.
        Response: We believe that the prospective payment system results in 
    fair payments. As implemented under Medicare, the prospective payment 
    system differentiates payments by location and type of provider as well 
    as by the relative resource intensity of individual cases. The CHAMPUS 
    and VA DRG-payment systems are similar to that used by Medicare; 
    however, they have been tailored to their own health care utilization 
    patterns. Under a prospective payment system, many of the operational 
    costs have been factored into the DRG.
        We have been informed that under the CHAMPUS DRG-payment system the 
    cost sharing provisions have been changed to ensure that the amount of 
    the shared cost incurred by the beneficiary will be more equitable. In 
    fact, we have learned that most beneficiaries will pay less under this 
    new system than the old, and no beneficiary is expected to pay more in 
    cost share amounts. As under the Medicare prospective payment system, 
    annual evaluations to recalculate DRG weights are taking place under 
    the CHAMPUS DRG-based system using the most recent period of CHAMPUS 
    data. During annual evaluations, consideration can be given to any 
    problems which have surfaced.
        For services provided to CHAMPVA patients, inpatient hospital 
    services are being reimbursed through the CHAMPUS DRG-based payment 
    system with, we expect, similar results. With regard to VA 
    beneficiaries, for admissions on or after November 23, 1990, hospital 
    reimbursements are being made in accordance with the regulations 
    published on October 24, 1990 (55 FR 42848) concerning the payment 
    methodology and amounts that the VA provides for those hospitals that 
    furnish inpatient hospital care to veterans whose care has been 
    authorized or will be sponsored by the VA. As noted in section I.B. of 
    this preamble, this rule was developed jointly by VA and HHS, and the 
    VA payment system conforms to Medicare's inpatient hospital prospective 
    payment system in most cases.
        Comment: One commenter believes that, at a minimum, 
    disproportionate share providers should receive special protection. He 
    stated that since Congress recognized that additional Medicare payments 
    under the prospective payment system should be made to hospitals that 
    admit a disproportionate share of low-income patients, a similar 
    disproportionate share status may be necessary to protect Medicare 
    providers located in areas surrounding military bases or other military 
    installations.
        Response: The preamble to the final rule implementing the CHAMPUS 
    DRG-Based Payment System (52 FR 32992) provides information to suggest 
    that there should not be a disproportionate number of CHAMPUS 
    beneficiaries seeking care in Medicare participating hospitals 
    (civilian hospitals). Specifically, when discussing ``emergency 
    treatment'' (page 32996, first column), it states that ``* * *all 
    CHAMPUS beneficiaries who live within catchment areas of military 
    treatment facilities (MTFs) are required to first seek inpatient care 
    at the MTF before going to a civilian hospital* * *'' The catchment 
    area is defined as within 40 miles of an MTF. On the other hand, 
    however, we have been informed that CHAMPVA beneficiaries are not 
    eligible for care in MTFs; therefore, they must use either VA or 
    civilian hospitals.
        We believe the payment rates under CHAMPUS are adequate to pay for 
    treatment of its enrolled population. If the commenter believes 
    otherwise he should furnish the VA with data on this matter and present 
    detailed findings to support the need for a suggested adjustment to 
    payment rates.
        Comment: Two commenters stated that these regulations should not be 
    imposed until the joint regulations are issued and thereafter should be 
    prospective in nature only.
        Response: The joint regulations to which the statute refers are 
    regulations establishing payment procedures and amounts, not 
    regulations requiring participation. Such regulations have already been 
    published (55 FR 42848 for VA and 52 FR 32992 for CHAMPUS/CHAMPVA). In 
    addition, we consulted on these regulations with pertinent members of 
    OCHAMPUS and VA before publication; thus, these regulations are also a 
    joint action. They are also prospective, not retroactive.
    
    B. Discharge Rights Notice
    
        Twenty-five commenters addressed the hospital discharge rights 
    notice. These comments were from a physician, citizen organizations, 
    professional organizations, hospital associations, a consultant group, 
    and hospitals.
        Comment: Three commenters suggested alternatives to the notice, 
    including the posting of signs in the hospital, sending a copy of the 
    notice with each beneficiary's social security check, and having the 
    hospital mail the notice to the beneficiary before his or her admission 
    to the hospital.
        Response: We do not believe that most of these methods would serve 
    the purpose Congress intended. Posting a sign could still result in 
    many, if not most, beneficiaries not noticing it at all; a mass mailing 
    would be untimely for most patients and thus subject to being ignored. 
    Moreover, the law requires that the notice be furnished by the 
    hospital. Finally, many admissions are not planned or occur with little 
    advance notice; so, having the hospital mail the statement before 
    admission would be a viable method of informing some but not all 
    beneficiaries of their discharge rights on a timely basis. We note, 
    however, that hospitals may choose this approach with patients whose 
    admissions are planned in advance.
        Comment: One commenter stated that the public had not had adequate 
    opportunity to participate in developing the discharge rights 
    statement.
        Response: Section 1866(a)(1)(M) of the Act requires a Medicare 
    participating hospital to furnish a statement concerning discharge 
    rights to each Medicare beneficiary.
        The law is self-implementing; that is, it did not require public 
    comment or regulations in order to be implemented. However, we did 
    consult extensively with major beneficiary and provider organizations 
    (such as the Gray Panthers, American Hospital Association, and the 
    American Association of Retired Persons) and have subsequently revised 
    the final version of ``An Important Message from Medicare'' (the 
    ``Message'') after these consultations.
        Comment: One commenter stated that the ``Message'' is inadequate, 
    especially as it pertains to discharge planning, and suggested either a 
    separate notice or an expanded notice to focus on the discharge 
    planning requirements of section 1861(e)(6) of the Act. Another 
    commenter asserted that the original ``Message'' was poorly written, as 
    it tries to cover legal requirements. The commenter also asserted that 
    there is a need for the ``Message'' to be more supportive and 
    informative.
        Response: The revised ``Message'' contains several references to 
    the availability of hospital discharge planning and the need to consult 
    a physician or appropriate hospital staff for assistance. Beneficiaries 
    have a current need for the ``Message,'' and we do not believe it would 
    have been appropriate to delay its distribution until after the 
    condition of participation for discharge planning, proposed to be 
    included in our regulations at Sec. 482.43 (see 53 FR 22506, June 16, 
    1988), is published as a final rule. Requiring a notice of hospital 
    discharge rights and requiring hospitals to provide a discharge 
    planning process are two separate statutory provisions of OBRA 86 that 
    were not meant to be combined. Further, Congress did not specify 
    explicitly in section 1866(a)(1)(M) that discharge planning should be 
    included in the notice. We have revised the original ``Message'' to 
    improve its readability as well as its content. We note that it has 
    always been our intention to revise the ``Message'' in the future as 
    patient needs change.
        Comment: One commenter thought we should include an explanation of 
    the content of the ``Message'' in the final rule and that an outline of 
    it in the regulations would aid in its later interpretation.
        Response: We are including as Appendix I to this interim final rule 
    the current ``Message''; it is self-explanatory. We do not believe it 
    is necessary to outline its content in the regulations text, as the 
    ``Message'' is readily available at hospitals.
        Comment: One commenter thought we should advise the public how they 
    can obtain a copy of the ``Message'' or that we should send each 
    commenter a copy.
        Response: The ``Message'' was distributed to all hospitals via 
    Medicare Hospital Manual Transmittal No. 545, dated July 1988. The 
    ``Message'' is readily available to the public since it has been 
    reproduced in the 1989 through 1994 editions of ``The Medicare 
    Handbook.'' As stated above, we are also publishing it as Appendix I to 
    this final rule.
        Comment: We received four comments, all from beneficiary 
    organizations, in favor of our requirement that the hospital obtain a 
    signed acknowledgement of the discharge rights notice. We also received 
    17 comments against it, primarily from hospitals and hospital 
    organizations. Four of these commenters stated that there is no need 
    for this requirement. They cited HCFA's statement in the preamble to 
    the proposed rule that, ``we believe we already have full cooperation 
    from hospitals.''
        Response: We strongly believe that the requirement that a hospital 
    furnish a statement concerning discharge rights to each Medicare 
    beneficiary must be fully met. However, we are persuaded by the 
    commenters that full compliance has already been achieved in most 
    hospitals. Therefore, we have eliminated the requirement for a signed 
    acknowledgement. In its place, we now specify under Sec. 489.27 that a 
    hospital must be able to demonstrate that it complies with the 
    requirement that each beneficiary be furnished with a discharge rights 
    notice at or about the time of admission. We note, however, that signed 
    acknowledgements could be required as part of a plan of correction for 
    a hospital that was found to be out of compliance with this 
    requirement.
        Comment: Fourteen commenters objected to the requirement that 
    hospitals retain the signed acknowledgement by the beneficiary, as they 
    anticipate it will be a tremendous burden in terms of cost of the 
    forms, storage of the acknowledgements, and added processing time by 
    the admissions staff.
        Response: In conjunction with the elimination of the signed 
    acknowledgement requirement, we have deleted the accompanying retention 
    requirement from this interim final rule. When we published the 
    proposed rule, our PRO program was oriented towards review of hospital 
    medical records, and so we chose initially to implement the discharge 
    rights requirement specifically in terms of an acknowledgement in the 
    medical record. More recently, however, we have reoriented our PRO 
    program towards efforts more likely to bring about general improvements 
    in quality and have minimized our funding of more limited ``process'' 
    requirements such as review of individual medical records. Accordingly, 
    we recognize that the proposed acknowledgement and retention 
    requirements have become obsolete and are eliminating them. Again, the 
    final rule does require hospitals to demonstrate compliance with the 
    discharge rights notification requirement, but does not specify the 
    manner of compliance. We expect some hospitals may continue to seek and 
    retain signed acknowledgements but believe they should have other, less 
    burdensome, options as well.
        Comment: Eight commenters believed that this requirement would be a 
    burden on the beneficiary and his or her family as there are already 
    too many forms to complete at admission; one commenter felt that 
    securing a signed acknowledgement would do little to improve 
    beneficiary attention to the ``Message'' because it is the presence of 
    a problem, rather than the presence of the notice, that generates 
    beneficiary attention to discharge rights issues.
        Response: We realize that being admitted to a hospital is a 
    stressful event for patients and their families. As noted above, we 
    have removed the requirement for a signed and dated acknowledgement, in 
    part because of its impact on beneficiaries. We expect in the future to 
    look more carefully at innovative ways to ensure that patients get the 
    information they need when they need it.
        Comment: In addition to the concerns discussed above, commenters 
    also addressed specific aspects of the requirement that hospitals 
    obtain and retain signed acknowledgement statements. For example, one 
    commenter suggested that we require that the date and time of the 
    patient's signature on the acknowledgement statement be recorded; 
    another recommended that the acknowledgement statement be accompanied 
    by an additional statement that signing the acknowledgement in no way 
    compromises a patient's discharge rights; another suggested that the 
    acknowledgement specify that the beneficiary has been given the name of 
    an individual at the hospital who is available to explain the 
    ``Message.'' Similarly, commenters asked that we specify where, in what 
    form, and for how long acknowledgements be retained. Finally, several 
    commenters recommended that we allow hospitals as much flexibility as 
    possible in implementing the acknowledgement and retention 
    requirements.
        Response: Given that we have decided to eliminate the requirement 
    for a signed acknowledgement and its retention, most of these comments 
    are now moot. Thus, we agree with the commenters who believe that 
    hospitals should be given maximum flexibility in determining how they 
    can best comply with the requirement that all beneficiaries be 
    furnished with a notice of discharge rights. We do not intend to 
    specify the actual mechanics of having this notice presented to 
    patients. Instead, we expect individual hospitals to exercise their own 
    discretion in dealing with the associated administrative issues. We 
    emphasize that, for survey purposes, hospitals that do not choose to 
    obtain and retain signed acknowledgement statements must be able to 
    document compliance by some other means with the requirement for timely 
    distribution of the discharge rights notice.
        Comment: One commenter contended that we should have done more 
    consulting with organizations knowledgeable about hospital management 
    practices before developing a proposal that related to the creation and 
    retention of a record.
        Response: We believe that the publication of the proposed rule 
    represents a valuable form of consultation. The issue we dealt with in 
    the proposed rule was primarily an issue relating to beneficiary 
    awareness and the creation of a record that it has been successfully 
    accomplished. As discussed above, we received comments on the 
    recordkeeping and management aspects of the issue, and we have fully 
    considered them in developing the final regulation.
        Comment: Some commenters believed that the regulations should 
    address those situations in which the patient is physically and/or 
    mentally unable to understand the message or to sign the 
    acknowledgement and has no one to perform these functions.
        Response: We do not agree that the regulations themselves should 
    address these situation. Such situations will be relatively rare. 
    Hospitals will need to be in compliance with applicable State statutes 
    in dealing with informing patients who cannot receive information on 
    their own behalf. Program instructions are a more appropriate vehicle 
    for discussing specific difficulties if they occur and additional 
    guidance is needed.
        Comment: One commenter recommended that we specify whether we are 
    requiring hospitals to educate Medicare beneficiaries about the 
    patient's rights listed in the ``Message'' and to assure that the 
    patient fully understands his or her rights.
        Response: We are not requiring the hospital to educate 
    beneficiaries as to their rights, beyond having beneficiaries read the 
    ``Message'' and signing an acknowledgement that they have read it, nor 
    are we requiring the hospitals to assure that the beneficiaries 
    understand their rights. Beneficiaries are instructed in the 
    ``Message'' to consult the PRO, their physician or the hospital's 
    patient representative if they do have questions.
        Comment: Four commenters believe HCFA, rather than the hospitals, 
    should educate beneficiaries about their rights. One commenter noted 
    that PROs, as part of their Federal contracts, are responsible for 
    community education programs.
        Response: HCFA carries out a variety of activities to educate 
    beneficiaries and will continue to do so. However, section 
    1866(a)(1)(M) of the Act requires that this explanation of patient 
    rights be provided by the hospital. This is an appropriate hospital 
    responsibility since inpatient hospital care is under the control of 
    the hospital and the patient looks to the hospital for information 
    about rights and options concerning care. Also, these rights are 
    related to discharge planning, which is most appropriately a hospital 
    function.
        Comment: One commenter wanted us to specify what, if any, changes a 
    hospital can make to the ``Message.'' The commenter also requested that 
    some monitoring requisites from the new PRO scope of work requirements 
    be included in the regulation.
        Response: We believe these items are better addressed in program 
    operating instructions. Medicare Hospital Manual Transmittal No. 545, 
    dated July 1988, and subsequent transmittals, inform hospitals that 
    they may use their own letterhead but may not alter or change the 
    language of the ``Message.'' Peer Review Organization Manual 
    Transmittals instructions will be updated, as needed, to reflect this 
    final regulation.
        Comment: Three commenters believed that termination for failure to 
    comply with provisions of this regulation is too extreme a penalty.
        Response: Although a hospital may be terminated for failing to meet 
    our requirements we will not institute termination before providing an 
    opportunity for correction. As stated in the preamble to the proposed 
    rule, the speed with which we move to termination would depend on 
    HCFA's judgment as to the scope of the failure and the hospital's 
    correction or plan for correction of the failure. This approach will be 
    reflected in implementing program instructions.
        Comment: One commenter thought that the acknowledgement requirement 
    should not be subject to the 2-day termination procedure.
        Response: The 2-day termination procedure was not proposed to apply 
    to the discharge rights provision, but only to the ``anti-dumping'' 
    provision.
    
    C. Hospital Responsibility for Emergency Care
    
        We received comments from 68 commenters on the anti-dumping 
    provisions as they existed before the passage of OBRA 89. Commenters 
    included hospitals, professional health organizations, State hospital 
    associations and medical societies, State agencies, physicians, 
    attorneys and other individuals. We have taken into account the OBRA 89 
    and OBRA 90 statutory changes when responding to the comments we 
    received, and we are adding the OBRA 89 and OBRA 90 requirements to 
    this interim final rule. We are doing this without publishing a second 
    notice of proposed rulemaking pertaining to the OBRA 89 and OBRA 90 
    requirements because we believe the extensive detail of the statute 
    makes many provisions self-executing and because commenters suggested 
    changes similar to many of those embodied in the legislation.
        (Please note that, with respect to the anti-dumping provisions, the 
    statute now uses the term ``individual'' and not ``patient.'' While our 
    response to comments refers to ``individuals,'' we have not made the 
    parallel change when the term ``patient'' appears in a commenter's 
    statement.)
    General
        Comment: A number of commenters suggested that HCFA require 
    hospitals to post signs in their emergency departments advising 
    patients of the hospital's obligation to provide emergency care. Two 
    other commenters recommended that we require emergency room personnel 
    to give emergency room patients both written and oral notice of the 
    hospital's obligations and the patient's rights under these 
    regulations.
        Response: The provisions of section 1867 of the Act address what is 
    appropriate performance on the part of hospitals in meeting medical 
    needs of individuals who need emergency services. Additionally, as 
    amended by section 6018(a)(2) of OBRA 89, section 1866(a)(1)(N)(iii) of 
    the Act explicitly directs the Secretary to require Medicare 
    participating hospitals to post conspicuously in all emergency 
    departments a sign (in a form specified by the Secretary) specifying 
    rights of individuals under section 1867 of the Act with respect to 
    examination and treatment for emergency medical conditions and women in 
    labor. Further, since some hospitals do not have traditional emergency 
    departments, we are amending Sec. 489.20 to include a new paragraph 
    (q)(1) to reflect this statutory requirement and to specify other 
    hospital areas in which such signs should be posted. It should be noted 
    that Medicare participating hospitals that do not offer emergency 
    services do not have to comply with this requirement. However, all 
    hospitals do have to comply with the provision of section 
    1866(a)(1)(N)(iv) of the Act, as also amended by section 6018(a)(2) of 
    OBRA 89, that directs hospitals to post conspicuously (in a form 
    specified by the Secretary) information indicating whether or not the 
    hospital participates in the Medicaid program under a State plan 
    approved under title XIX. (See Sec. 489.20(q)(2).)
        We have also published an interim manual instruction (IMI)(IM-90-1, 
    June 1990) in HCFA Pub. 10, the Medicare Hospital Manual, listing 
    minimum criteria for the signs and an example of language for this sign 
    that would meet such criteria. We are including the IMI language as 
    shown in the IMI exhibit for informational purposes in Appendix II to 
    this final rule and request comments on the exhibit.
        We believe that the statutory requirement for the posting of signs, 
    which does not also require individual written or oral notice, is 
    adequate for the general purpose of informing patients of their rights 
    to a medical screening and stabilizing treatment under the anti-dumping 
    statute. This is consistent with the overall drafting of section 1867 
    of the Act, which specifically requires individual notice in other 
    situations such as consent to transfer. Accordingly, when an 
    individual's specific treatment is involved, we agree with the 
    commenters that it is essential for patients to be fully informed about 
    all the critical medical issues with which they are faced. That is why 
    we require a more detailed process for ensuring that hospitals obtain 
    the informed consent of an individual who is faced with the prospect of 
    a transfer. (See Sec. 489.24(c).) In such cases, we agree that both 
    oral and written interaction are necessary.
        Comment: A number of commenters objected to our proposal concerning 
    furnishing emergency services on the grounds that our rule applies to 
    all patients (rather than Medicare patients only). They believe that 
    any problems were of limited scope and noted that implementation of the 
    requirement will establish an adversarial relationship among HCFA, 
    providers, and patients.
        Response: The protections of the statute are expressly extended to 
    all individuals who come to a facility regardless of whether the 
    individual is eligible for benefits under Medicare. The Federal 
    Government has always viewed that a provider's obligation is to all 
    persons, regardless of entitlement. This obligation has been well 
    understood and universally applied to all providers. Congress, in 
    apparent awareness of this universal obligation, has in some instances 
    limited the scope of a provider's obligation. An example of this is 
    discharge planning, as provided under section 1861(ee) of the Act, 
    which limits the scope of this requirement specifically to individuals 
    covered under the Act. Since Congress has not chosen to narrow the 
    scope of section 1867 by limiting it only to persons entitled to 
    benefits under the Act, we are confident that the provisions of section 
    1867 of the Act extend to all persons.
        We believe that section 1867 of the Act also applies to all 
    individuals who attempt to gain access to the hospital for emergency 
    care. An individual may not be denied services simply because the 
    person failed to actually enter the facility's designated emergency 
    department. To read the statute in such a narrow fashion would in our 
    view frustrate the objectives of the statute in many cases and lead to 
    arbitrary results. For the same reason, a facility may not prevent an 
    individual from gaining access to the facility in order to circumvent 
    these requirements. If an individual is on a facility's property, which 
    includes ambulances owned and operated by the facility, even if the 
    ambulance is not on hospital property, and a request is made on the 
    individual's behalf for examination or treatment for a medical 
    condition, we believe the statute reasonably requires the facility to 
    provide a screening examination and treatment or transfer in accordance 
    with section 1867 of the statute. An individual in a nonhospital-owned 
    ambulance on hospital property is considered to have come to the 
    hospital's emergency department. However, an individual in a 
    nonhospital-owned ambulance located off hospital property is not 
    considered to have come to the hospital's emergency department if 
    someone staffing the ambulance contacts the hospital by telephone or 
    telemetry communications and informs the hospital that they want to 
    transport the individual to the hospital for examination and treatment. 
    This is in accordance with the recent court decision that, for purposes 
    of section 1867 of the Act, a hospital-operated telemetry system is 
    distinct from the same hospital's emergency department. (See Johnson v. 
    University of Chicago Hospitals, 1992 U.S. App. Lexis 25096 (7th Cir. 
    1992).) Thus, the hospital may deny such access when it is in 
    ``diversionary'' status because it does not have the staff or 
    facilities to accept any additional emergency patients at that time. 
    However, if the ambulance disregards the hospital's instructions and 
    does bring the individual on to hospital grounds the hospital cannot 
    deny the individual access to hospital services whether or not the 
    hospital is in ``diversionary'' status.
        Comment: A number of commenters noted that these requirements could 
    have a greater impact on some hospitals than on others. For example, 
    rural hospitals would have a greater recordkeeping burden in 
    documenting transfers because they have smaller emergency room (ER) 
    staffs; hospitals with high ER rates for non-Medicare or Medicaid 
    patients would have to provide care for which these programs will not 
    directly compensate, and some hospitals will have to accept larger 
    numbers of indigent patients presenting themselves for treatment.
        Response: The law specifically applies to all hospitals that 
    participate in Medicare and that offer emergency services. We have, 
    therefore, inserted the following definition in Sec. 489.24(b): 
    ``Hospital with an emergency department means a hospital that offers 
    services for emergency medical conditions (as defined in this 
    paragraph) within its capability to do so.'' It is also clear that the 
    statute only requires hospitals that offer emergency services to 
    provide screening and stabilizing treatment within the scope of their 
    capabilities (sections 1867(a) and (b) of the Act). We acknowledge, 
    however, that any participating hospital providing emergency services, 
    regardless of size or patient mix, must provide screening and 
    stabilizing treatment, as needed, to individuals who present themselves 
    for examination or treatment. We recognize that this could create 
    uneven uncompensated care burdens on some hospitals because of larger 
    than usual concentrations of indigent patients; however, we do not 
    believe that this will often be the case. Since the requirements apply 
    to all 6,700 Medicare participating hospitals, among 7,000 U.S. 
    hospitals offering emergency services, we also believe that the statute 
    will lighten the burden on some hospitals now subject to increased 
    patient loads due to inappropriate transfers because patients are more 
    likely to be treated and stabilized at the hospitals where they first 
    present themselves for treatment.
    Medical Screening Examination
        Comment: Two commenters stated that a hospital should not be 
    required to designate in its by-laws which personnel are qualified to 
    perform the initial medical screening examination because it is 
    unreasonable to require a hospital to amend its by-laws. A 
    recommendation was made that those personnel qualified to perform 
    screening examinations be approved by the medical director of the 
    emergency department. Another recommendation was made that those 
    personnel qualified to perform screening examinations be set forth in 
    the rules and regulations governing the medical staff and not the by-
    laws.
        Response: It is important to require the hospital to determine 
    formally what type of personnel is qualified to perform the initial 
    medical screening examinations because such a formal determination will 
    insure that the hospital's governing body recognizes the ``capability 
    of the hospital'' and is properly accountable for this function. For 
    this reason, we believe that the delegation should be set forth in a 
    document that is approved by the governing body of the hospital, rather 
    than merely allowing the medical director of the emergency department 
    to make what may be informal delegations that could frequently change. 
    If the rules and regulations are approved by the board of trustees or 
    other governing body, we agree that those personnel qualified to 
    perform these examinations may be set forth in the rules and 
    regulations, instead of placing this information in the hospital by-
    laws. We are amending Sec. 489.24(a) to reflect this change. Although 
    we are requiring the hospital to specify in its by-laws or its rules 
    and regulations who is a ``qualified medical person'' for purposes of 
    providing an appropriate medical screening examination, this does not 
    mean that HHS must accept the hospital's specification when determining 
    whether an appropriate medical screening examination was done. So, for 
    example, if a hospital specifies that a nurse is always the ``qualified 
    medical person'' who should do the medical screening examination, HHS 
    may, in some instances, determine that there was not an appropriate 
    medical screening examination because the condition of the individual 
    required the expertise of a physician to determine whether that 
    individual had an emergency medical condition.
    
        Comment: Several commenters suggested that the regulations require 
    hospitals to perform the medical screening examination without first 
    inquiring about an individual's ability to pay because such inquiries 
    may encourage patients to refuse treatment or request transfer, even 
    when it is not in the best interests of the patient's health.
    
        Response: We agree with the commenter, as did Congress as evidenced 
    by the provisions added to section 1867(h) of the Act by section 
    6211(f) of OBRA 89:
    
    A participating hospital may not delay provision of an appropriate 
    medical screening examination required under subsection (a) or 
    further medical examination and treatment required under subsection 
    (b) in order to inquire about the individual's method of payment or 
    insurance status.
    
        We have included this language in the regulations at 
    Sec. 489.24(c)(3). However, we note that we believe that it means 
    hospitals may continue to follow reasonable registration processes for 
    emergency room individuals, including requesting information about 
    insurance, as long as these procedures do not impede provision of 
    necessary treatment and as long as all individuals to whom the 
    procedures apply are treated similarly. That is, all individuals who 
    have an emergency medical condition are served regardless of the 
    answers they may give to insurance questions asked during routine 
    admissions screening. A hospital should not delay treatment to any 
    individual while it verifies information provided.
    
        Comment: Three commenters recommended that the regulations 
    affirmatively state that every patient, regardless of ability to pay, 
    should receive a medical screening examination performed by a 
    physician.
    
        Response: Section 1867(a) of the Act provides that a hospital must 
    give an appropriate medical screening examination to all individuals 
    who come to the emergency department and request examination or 
    treatment. While it may be prudent for a hospital to require a 
    physician to conduct this screening examination in every instance, 
    there may be hospitals, especially rural primary care hospitals, in 
    which a physician is not available to provide a medical screening 
    examination. Even when physicians are present in the hospital, there 
    may be circumstances that are so clearly not emergency medical 
    conditions that other qualified medical personnel may conduct the 
    initial screening examination. However, although it is up to the 
    hospital to determine under what circumstances a physician is required 
    to perform an appropriate medical screening examination, that does not 
    mean that HHS must accept the hospital's determination of what 
    circumstances require that the screening exam be performed by a 
    physician.
        Comment: Several commenters asked us to define ``appropriate 
    medical screening examination,'' so that hospitals and physicians are 
    subject to unambiguous requirements for carrying out the statutory 
    mandate.
        Response: It is impossible to define in advance all of the 
    circumstances in which an individual may come to a hospital emergency 
    department. What constitutes an appropriate medical screening 
    examination will vary according to the condition and past history of 
    the individual and the capabilities of the hospital's emergency 
    department--both its facilities and available personnel. Within those 
    capabilities, the examination must be sufficient to permit the hospital 
    to decide whether or not the individual has an emergency medical 
    condition. Because the law does not require hospitals, among which 
    there are variations in staffing and procedures, to adopt standard 
    procedures or use standard staffing to meet these requirements, 
    determinations about whether a hospital is in compliance with these 
    regulations must be based on the facts in each individual case.
        Comment: One commenter stated that the regulations should permit 
    other qualified medical personnel to perform an initial medical 
    screening examination if a physician is not available in the emergency 
    department. Another asked if hospitals could use labor and delivery 
    nurses, in consultation by phone with an obstetrician, to examine 
    emergency obstetric patients to determine whether they are in labor.
        Response: The regulations presently allow a hospital to delegate 
    its responsibility to perform initial medical screening examinations to 
    qualified medical personnel if it does so in its by-laws or in its 
    rules and regulations. Such a delegation must also be consistent with 
    the provisions of Sec. 482.55 with respect to emergency services 
    personnel. Obviously, the Department cannot anticipate every situation 
    in which an individual with an emergency medical condition may come to 
    an emergency department. Hence, we cannot state unequivocally that an 
    examination by a nurse or other non-physician medical personnel will be 
    appropriate under all circumstances.
    Capability
        Comment: One commenter suggested that we revise the regulation to 
    permit a hospital to transfer an unstabilized patient when it does not 
    have the personnel or equipment to stabilize the patient's condition 
    within the meaning of the statute.
        Response: No revision is necessary. A hospital is only required to 
    treat individuals with the staff and facilities available at the 
    hospital. Under Sec. 482.55(b)(2), a hospital must have available 
    ``adequate medical and nursing personnel qualified in emergency care to 
    meet the written emergency procedures and needs anticipated by the 
    facility.'' Subject to the discussion below concerning on-call 
    physicians, if the hospital does not have at its disposal the personnel 
    or equipment necessary to stabilize a particular person's emergency 
    medical condition, section 1867(c)(1) of the Act permits an 
    unstabilized individual to be transferred if (a) the individual or the 
    individual's representative has been informed of the risks and benefits 
    of the transfer and requests the transfer in writing; or (b) the 
    individual has not refused an appropriate transfer and the physician 
    signs a written certification that the benefits of appropriate 
    treatment at another facility outweigh the risks associated with the 
    transfer.
        Comment: One commenter recommended that the services of on-call 
    physicians should be considered in determining the capabilities of the 
    staff and facilities ``available'' to conduct a medical screening 
    examination and further treatment that may be necessary to stabilize 
    the emergency medical condition or treat the labor. Another asked that 
    the regulations specify that a hospital is deemed to be capable of 
    providing emergency services in all fields in which the hospital is 
    normally engaged, regardless of the staff's reluctance to be available 
    for emergency services.
        Response: We agree that on-call physicians and ancillary services 
    should be considered available to the hospital. This was further 
    clarified in section 6018(a)(1) of OBRA 89, which amended section 
    1866(a)(1) of the Act to require hospitals to maintain a list of 
    physicians who are on call and available to provide treatment needed to 
    stabilize individuals with emergency medical conditions. Accordingly, 
    we have amended Sec. 489.20 to include a new paragraph (r)(2) requiring 
    hospitals to comply with this OBRA 89 provision. The statute (as 
    revised by COBRA, OBRA 89, and OBRA 90) and the current regulations 
    state that the hospital must provide a medical screening examination, 
    within the capability of the hospital's emergency department, including 
    ancillary services routinely available to the emergency department, to 
    determine if the patient has an emergency medical condition. If a 
    hospital chooses to meet its responsibility under Sec. 482.55 to 
    provide adequate medical personnel to meet its anticipated emergency 
    needs by using on-call physicians either to staff or to augment its 
    emergency department, then the capability of its emergency department 
    includes the services of its on-call physicians.
        The statute (as revised by COBRA, OBRA 89, and OBRA 90) and current 
    regulations also require the hospital to provide whatever further 
    examination and treatment are necessary to stabilize the medical 
    condition or to provide for treatment of the labor within the staff and 
    facilities available at the hospital. If a staff physician is on call 
    to provide emergency services or to consult with an emergency room 
    physician in the areas of his or her expertise, that physician would be 
    considered to be available at the hospital.
        We also believe that when COBRA was enacted, Congress intended that 
    the resources of the hospital and the staff generally available to 
    patients at the hospital would be considered available for the 
    examination and treatment of individuals coming to the hospital's 
    emergency department, regardless of whether staff physicians had 
    heretofore been obligated by the hospital to provide services to those 
    coming to the hospital's emergency department. This was also clarified 
    by section 6211(a) of OBRA 89, which specifies that the capability of 
    hospital emergency departments must include ``ancillary services 
    routinely available to the emergency department.'' Therefore, if a 
    hospital has a department of obstetrics and gynecology, the hospital is 
    responsible for adopting procedures under which the staff and resources 
    of that department are available to treat a woman in labor who comes to 
    its emergency department.
        Comment: One commenter expressed concern about the liability of 
    small rural hospitals because many times they are not equipped to treat 
    certain emergencies, in which case the patient must be transferred. 
    Another commenter asked if each hospital's emergency room is required 
    to treat emergency psychiatric disorders regardless of the hospital's 
    capabilities.
        Response: Neither the statute nor the regulations mandate that 
    hospitals expand their resources or offer more services. Rather, they 
    focus on a hospital's existing capabilities. The thrust of the statute 
    is that a hospital that offers emergency services to some members of a 
    community who need their emergency services (for example, those that 
    can pay) cannot deny such services to other members of the community 
    with a similar need.
        As previously indicated, the statute and the regulations 
    specifically state that the hospital must provide treatment that is 
    within the capabilities of the staff and facilities it has available. 
    If a hospital does not have the capability to treat psychiatric 
    disorders or a small rural hospital lacks the staff or resources to 
    treat certain emergencies, it must determine whether the benefits to an 
    individual's medical condition outweigh the risks associated with 
    transferring the individual. If a physician certifies that the benefits 
    of transfer to a more suitable facility outweigh the risks, the 
    hospital may transfer the individual to a facility that has the 
    capability to treat that individual and agrees to accept transfer. The 
    certification may be signed by a qualified medical person if a 
    physician is not physically present in the emergency department and 
    that qualified medical person first consults with a physician who later 
    countersigns the certification. Also, a person seeking medical 
    treatment may make an informed decision to request transfer to such a 
    facility.
        Comment: Several commenters asked whether the determination of 
    liability and penalties will be the same for a hospital that has 
    limited capabilities as that for a hospital that has a trauma center.
        Response: Any participating hospital that offers emergency services 
    is liable for violations of the statute regardless of whether it is a 
    small rural hospital or a major metropolitan tertiary care facility 
    with a trauma center. The statute requires any subject hospital to 
    provide for treatment within the capabilities of the staff and facility 
    it has available. However, hospitals with fewer than 100 State-
    licensed, Medicare-certified beds are subject to a maximum civil 
    monetary penalty of $25,000, as compared to a maximum civil monetary 
    penalty of $50,000 for hospitals with 100 or more State-licensed, 
    Medicare-certified beds.
        Comment: One commenter questioned the responsibility of a hospital 
    that is a Medicare certified hospital but does not have an emergency 
    department. Another wanted to exempt from the reach of the statute 
    facilities, such as college infirmaries, that provide emergency 
    services exclusively to students.
        Response: The statute and these regulations apply only to hospitals 
    that participate in the Medicare program and that offer emergency 
    services. HHS considers any participating hospital that provides 
    emergency services to have an emergency department and thus to be 
    subject to the provisions of the statute and these regulations. 
    However, even a Medicare participating hospital that does not provide 
    emergency services must continue to meet the standard of 
    Sec. 482.12(f), which requires hospitals to have written policies and 
    procedures for appraisal of emergencies, initial treatment, and 
    referral where appropriate. Also, to our knowledge, college infirmaries 
    are not hospitals having Medicare provider agreements and are thus not 
    subject to section 1867 of the Act.
    Hospital
        Comment: One commenter noted that in the proposed regulations and 
    COBRA, the term ``hospital'' is defined as ``a Medicare facility 
    certified as a hospital with its own provider number.'' The commenter 
    recommended that the definition be expanded to require that the 
    transfer be made to the ``nearest appropriate facility'' that happens 
    to be a Medicare provider, so that Medicare providers will be required 
    to receive transfers from other hospitals.
        Response: The intent of the statute is to provide equal treatment 
    for all individuals who come to a hospital and request a medical 
    screening examination or treatment for an emergency medical condition, 
    as well as to provide for protected transfers of individuals who have 
    unstabilized emergency medical conditions. Such individuals are at the 
    greatest risk of severe physical impairment, dysfunction, or delivery 
    of a baby in the absence of immediate medical attention. We believe 
    that after assessing an individual's medical condition and weighing the 
    risks versus benefits of effectuating an appropriate transfer to 
    another facility, the amount of travel time required to transport the 
    individual should be considered. Situations will occur where an 
    individual's condition requires a hospital to effectuate a transfer to 
    the nearest appropriate facility that has the capability and capacity 
    to treat in order to minimize the risks to the individual by reducing 
    the transportation time as much as possible. Transfer of an 
    unstabilized patient to a hospital with which there is a prior transfer 
    agreement can be justified when the condition of the unstabilized 
    individual is such that the additional travel time would not increase 
    the danger to the patient.
    Emergency Department
        Comment: Two commenters believe that we should define emergency 
    department to include the provision of emergency services, as not all 
    hospitals have a formal ``emergency department.''
        Response: We believe that section 1867 of the Act applies to all 
    Medicare participating facilities that offer emergency services. It was 
    not Congress' intent to limit the scope of the provision to only those 
    facilities that have organized areas specifically labelled as emergency 
    departments or emergency rooms. If so, a facility could easily 
    circumvent its responsibilities under the Act simply by renaming the 
    department to something other than ``emergency department'' or by using 
    an approach other than departmentalization in providing hospital 
    services. This would clearly contravene the underlying principle of the 
    statute that obligates hospitals to render emergency care within their 
    capacity when they normally undertake to render such care in individual 
    cases.
        For example, many psychiatric hospitals do not have organized 
    emergency departments. However, many of these facilities offer 24-hour 
    psychiatric services on a walk-in basis for persons who are not 
    patients of the hospital. Although these hospitals do not have 
    organized emergency departments, they are presenting themselves to the 
    public as providing care for psychiatric emergencies. We believe this 
    type of facility must comply with the requirements of section 1867 of 
    the Act and render emergency care within their capability to do so (or 
    provide for a transfer in accordance with section 1867(c) of the Act).
        In order to clarify this issue, we believe it is helpful if the 
    regulations define the term ``hospital with an emergency department'' 
    to clarify which hospitals are subject to the requirements of section 
    1867. Therefore, as we previously indicated, we have inserted in 
    Sec. 489.24(b) the definition of a hospital with an emergency 
    department.
    Patient Consent
        Comment: One commenter noted that the first sentence of proposed 
    Sec. 489.24(a) contains a conflict in language as it appears to refer 
    to individuals coming in alone and then refers to a request made on the 
    individual's behalf.
        Response: The statute and the regulations focus on the individual 
    coming to an emergency department who may need treatment, whether or 
    not that individual is alone or with his or her entire family. However, 
    we are clarifying the language to state that the request for treatment 
    may be made by the individual or on the individual's behalf.
        Comment: Eleven commenters questioned the hospital's responsibility 
    to a patient who refuses treatment or refuses a medically appropriate 
    transfer.
        Response: The statute deems a hospital as having met its statutory 
    obligations under this provision if an individual refuses treatment or 
    a medically appropriate transfer. We are adding requirements, discussed 
    below, to ensure that the individual's refusal is informed and not 
    obtained under duress.
        Comment: One commenter stated that proposed Sec. 489.24(c) (2) and 
    (3) are inconsistent in that an individual's refusal to consent to 
    treatment must be in writing, but a refusal to consent to transfer does 
    not. Other commenters urged HCFA to require that refusals to consent to 
    treatment be in writing and that they reflect that the individual, or a 
    legally responsible person acting on his or her behalf, understands the 
    hospital's obligations under the statute and is aware of the risks of 
    refusing treatment.
        Response: We agree that the decision to refuse or consent to 
    treatment must be an informed one, and we believe that the hospital is 
    obliged to inform the individual (or the person requesting examination 
    or treatment on his or her behalf) of the reasonably foreseeable risks 
    and benefits of refusing or consenting to treatment. Sections 6211(b) 
    (1) and (2) of OBRA 89 amended section 1867(b) of the Act to require 
    hospitals to inform individuals (or persons acting on their behalf) of 
    the risks and benefits to the individual of examination and treatment 
    and/or transfer, and to ``take all reasonable steps to secure the 
    individual's (or person's) written informed consent to refuse such 
    examination and treatment,'' transfer, or both. We are therefore 
    amending Sec. 489.24(c) (2) and (4) to comply with these OBRA 89 
    requirements. Thus, the medical record should contain a description of 
    the examination and treatment offered to the individual. We also 
    believe that hospitals should not attempt to coerce individuals into 
    making judgments against their best interest by informing them that 
    they will have to pay for their care if they remain, but that their 
    care will be free or at low cost if they transfer to a charity 
    hospital.
        It should also be noted that hospitals generally require an 
    individual's consent to treatment to be in writing. (See 
    Sec. 482.24(c)(2)(v) requiring properly executed informed consent forms 
    for procedures and treatments specified by hospital medical staff or 
    Federal or State law requirements.)
        Comment: One commenter stated that HCFA should require a request 
    for transfer to be in writing to ensure that it is not coerced. It 
    should acknowledge the individual's awareness of his or her right to 
    emergency treatment under the statute and outline the benefits and 
    risks of transfer.
        Response: We agree and, based upon this comment and section 
    6211(c)(1) of OBRA 89, are revising Sec. 489.24(d)(1)(ii)(A) to provide 
    that requests for transfer must be in writing and signed by the 
    individual requesting the transfer or by a legally responsible person 
    acting on the individual's behalf. The requests should contain a brief 
    statement of the hospital's obligations under the statute and the 
    benefits and risks that were outlined to the person signing the 
    request. The request should be made a part of the patient's medical 
    record, and a copy of it should be sent to the receiving facility along 
    with the individual transferred. It is reasonable to conclude that, by 
    permitting requests for transfer to be made only by the individual or a 
    legally responsible person acting on the individual's behalf, Congress 
    intended requests to be documented in the manner suggested by the 
    commenter. Moreover, this requirement will reduce litigation about 
    whether an individual requested the transfer.
        Comment: Three commenters recommended that a person acting on the 
    patient's behalf does not have to be ``legally'' responsible for the 
    patient.
        Response: We agree and are revising Secs. 489.24(c)(2) and (c)(4) 
    to reflect this change because section 9307 of OBRA 86 deleted the 
    phrase ``legally responsible'' from sections 1867(b)(2) and (b)(3) of 
    the Act. However, as section 1867(c) of the Act continues to contain 
    the phrase ``legally responsible'', it is being retained in 
    Sec. 489.24(d).
    Medical Records and Certification
        Comment: Three commenters suggested we specify in the regulations 
    what constitutes a certification that a transfer is in the patient's 
    best interests. They asked if an entry in the patient's medical record 
    would be sufficient certification.
        Response: Before an unstabilized individual may be transferred in 
    the absence of a request for transfer, the statute requires a physician 
    to sign a certification that based upon the information available at 
    the time, the medical benefits reasonably expected from appropriate 
    medical treatment at another medical facility outweigh the increased 
    risks to the individual and, in the case of labor, to the unborn child, 
    from effecting the transfer. If a physician is not physically present 
    in the emergency department at the time of transfer, a qualified 
    medical person may sign the certification after consulting with a 
    physician who later countersigns that certification. Section 
    1867(c)(1)(A)(ii) and (iii) of the Act, both as added by COBRA (section 
    9121(b)) and revised by OBRA 89 (section 6211(c)(4)), requires an 
    express written certification by a physician or other qualified medical 
    personnel attesting to the elements just delineated; the certification, 
    while it may be written explicitly into the medical record, cannot 
    simply be inferred from the findings in the medical record and the fact 
    that the individual was transferred.
        We agree with the Fifth Circuit, in Burditt v. U.S. Dept. of Health 
    and Human Services, 934 F.2d 1362 (5th Cir. 1991) wherein the court, in 
    addressing whether there had been a knowing violation of section 1867 
    of the Act, held that:
    
    A hospital may violate [the certification] provision in four ways. 
    First, before transfer, the hospital might fail to secure the 
    required signature from the appropriate medical personnel on a 
    certification form. But the statute requires more than a signature; 
    it requires a signed certification. Thus, the hospital also violates 
    the statute if the signer has not actually deliberated and weighed 
    the medical risks and the medical benefits of transfer before 
    executing the certification. Likewise, the hospital fails to make 
    the certification required by 42 U.S.C. 1395dd(c)(1)(A)(ii) if the 
    signer makes an improper consideration a significant factor in the 
    certification decision. Finally a hospital violates the statute if 
    the signer actually concludes in the weighing process that the 
    medical risks outweigh the medical benefits of transfer, yet signs a 
    certification that the opposite is true.
    
        Section 1867(d)(1)(B)(i) of the Act, as amended by section 6211(e) 
    of OBRA 89, now allows imposition of civil monetary penalties if the 
    physician ``knew or should have known that the benefits did not 
    outweigh the risks.'' We are therefore revising 
    Sec. 489.24(d)(1)(ii)(B) to require that a certification state the 
    reasons for the transfer and include a summary of the risks and 
    benefits upon which it is based. As the statute requires that a 
    physician or other qualified medical personnel in consultation with a 
    physician weigh the benefits and risks associated with the transfer 
    before an unstabilized individual may be transferred, it should not be 
    unduly burdensome for the physician or other medical personnel to state 
    the risks and benefits that have been weighed. It should be noted, 
    however, that, under the statute, the physician, not the qualified 
    medical personnel, makes the transfer determination in all cases. The 
    narrative rationale need not be a lengthy discussion of the 
    individual's medical condition reiterating facts already contained in 
    the medical record, but it should give a complete picture of the 
    benefits to be expected from appropriate care at the receiving facility 
    and the risks associated with the transfer, including the time away 
    from an acute care setting necessary to effect the transfer.
        Revised Sec. 489.24(d)(2)(iii) (formerly a part of paragraph 
    (d)(2)(ii)) requires that the certification be included in the 
    individual's medical record and that it be sent to the receiving 
    hospital along with the transferred individual. We believe that this 
    will assist the receiving hospitals in determining whether the 
    individual was transferred appropriately under the statute.
        Comment: Three commenters believe it is unreasonable and burdensome 
    to require physicians to sign for every patient transferred and that it 
    is unduly harsh to assess a criminal penalty for a decision that could 
    be a mistake.
        Response: Section 1867(c)(1)(A)(ii) of the Act requires a physician 
    to certify patient transfers because it was the intent of Congress to 
    protect emergency patients and women in labor against erroneous 
    transfers. However, the statute and the regulations do allow other 
    qualified medical personnel, in consultation with a physician, to 
    certify patient transfers when a physician is not physically present in 
    the emergency department so long as the physician later countersigns. 
    Penalties, however, are civil in nature, not criminal.
        Comment: One commenter wants the regulations revised to require 
    that medical records accompany not only unstabilized but stabilized 
    patients being transferred.
        Response: We see no need to revise these medical record 
    requirements of the regulation. Records must accompany an individual 
    whether or not his or her condition is stabilized. Under 
    Sec. 489.24(d)(2)(iii) (formerly paragraph (d)(2)(ii)), hospitals 
    transferring unstabilized individuals must provide the receiving 
    facility with all medical records related to the emergency condition 
    for which the individual has presented in addition to other information 
    required by the statute and regulations. Under the current conditions 
    of participation for hospitals (Sec. 482.21(b)(2)), all patients, 
    including stabilized patients being discharged from hospitals to other 
    facilities and agencies, must be accompanied by necessary medical 
    information. This is a routine requirement that was in place before the 
    dumping statute was enacted.
        Comment: One commenter stated that in order for a receiving 
    hospital to make an informed assessment about whether a transferring 
    hospital has inappropriately transferred an individual, the 
    transferring hospital should be required to send a memorandum of 
    transfer, any consent or refusal forms signed by the patient, and 
    reports by the doctors.
        Response: We agree that it would be helpful for many reasons for 
    the receiving hospital to have the individual's medical record at the 
    time the individual is actually transferred. The medical record usually 
    includes doctors' reports, consent or refusal forms and transfer 
    certifications. We are therefore amending proposed 
    Sec. 489.24(d)(2)(ii) (now paragraph (d)(2)(iii)) to require a 
    transferring hospital to send with the transferred individual whatever 
    records are available at the time and place of the transfer.
        Comment: Four commenters wanted the regulations to specify what 
    information is to be in the ``appropriate medical records'' and listed 
    what they thought should be in them, including, in one case, records of 
    previous admissions.
        Response: We agree with this comment, and section 6211(d)(2) of 
    OBRA 89 amended section 1867(c)(2)(C) of the Act to address this issue. 
    The statute now directs transferring hospitals to send receiving 
    hospitals all medical records related to the individual's emergency 
    condition ``available at the time of transfer'' (note next Comment and 
    Response) and specifically lists some of the information that should be 
    included in these records. We have, therefore, amended proposed 
    Sec. 489.24(d)(2)(ii) (now paragraph (d)(2)(iii)) to reflect the new 
    legislative requirements. The conditions of participation in 
    Sec. 482.24(c) contain other Federal requirements relating to medical 
    records. To the extent that services are performed before transfer we 
    expect them to be reflected in the records transferred, consistent with 
    the conditions of participation. Although it may be desirable, 
    depending on the patient's condition, to send along records of previous 
    admissions, the patient's transfer should not be delayed.
        Comment: Several commenters recommended that ``timely'' medical 
    records be defined as those available at the time the patient is 
    transferred. Those commenters also recommended that records, such as 
    test results, that were not available at the time of transfer should be 
    sent to the receiving hospital as soon as possible.
        Response: We agree with both points, and we have amended proposed 
    Sec. 489.24(d)(2)(ii) (now paragraph (d)(2)(iii)) accordingly to 
    require that a transferring hospital send with the transferred 
    individual whatever records (including copies of results of diagnostic 
    studies or telephone reports of the studies) are available at the time 
    and place of the transfer. If a transfer is in an individual's best 
    interests, it should not be delayed until records are retrieved or test 
    results come back from the laboratory. Whatever documents are available 
    at the time the individual is transferred should be sent to the 
    receiving hospital with the individual. Test results that become 
    available after the individual is transferred should be telephoned to 
    the receiving hospital. Records that become available after the patient 
    is transferred, such as hard copies of test results or relevant records 
    of earlier admissions, for example, should be sent to the receiving 
    hospital as expeditiously as possible.
        Comment: Two commenters wanted us to define what medical personnel 
    may be qualified, in addition to the physician, to certify that a 
    transfer is appropriate.
        Response: The regulations require hospitals to determine which of 
    their personnel are qualified to certify, in consultation with a 
    physician who later countersigns, that a transfer is appropriate. This 
    decision will vary among hospitals and States as availability, 
    qualifications, and practice limitations of a particular category of 
    staff differ. HCFA holds the governing body of a hospital responsible 
    for assuring that its staff functions within the bounds of State law 
    and this and other federal health and safety regulations. Based upon 
    these comments and section 6211(c)(2)(D) of OBRA 89, we are amending 
    Sec. 489.24(d)(1)(ii)(C) to specify that, if a physician is not 
    physically present in the emergency department at the time an 
    individual is transferred, a qualified medical person may sign a 
    certification stating that the transfer is in the individual's best 
    interest. However, the qualified medical person may sign a transfer 
    certification only after a physician, in consultation with the 
    qualified medical person, has made the determination to transfer. The 
    physician must subsequently countersign the certification. The 
    regulation also provides that the hospital must determine who are 
    ``other qualified medical personnel.''
    Transportation
        Comment: One commenter wanted us to recognize that requiring 
    trained emergency medical technicians to accompany a patient being 
    transferred will meet the requirements that a transfer be effected 
    through ``qualified personnel'' as required under proposed 
    Sec. 489.24(d)(2)(iii) (now paragraph (d)(2)(iv)) because, in many 
    communities, transfers are made by volunteer rescue squads with trained 
    emergency medical technicians.
        Response: We cannot state unequivocally that emergency medical 
    technicians are ``qualified personnel'' for purposes of transferring an 
    individual under these regulations. Depending on the individual's 
    condition, there may be situations in which a physician's presence, or 
    some other specialist's presence, might be mandatory.
        Comment: One commenter proposed that we amend the regulations to 
    clarify that the hospital is responsible for providing transportation 
    services, either directly or indirectly, stating that the proposed 
    regulations did not address the need for the hospital to provide 
    transportation services to carry out the physician's orders.
        Response: We disagree. The statute (section 1867(c)(2)(C) of the 
    Act) imposes a duty on the hospital to ensure that the transfer is 
    effected through qualified personnel and transportation equipment. 
    Frequently the determination of what equipment and personnel will be 
    required will be a medical decision. The hospital by-laws, rules and 
    regulations, or State law may dictate that the decision be made by the 
    transferring physician. If the hospital delegates its duty under the 
    statute to the transferring physician, both the hospital and physician 
    would be obligated to ensure that the transfer is effected through 
    qualified personnel and necessary equipment. To say that the hospital 
    is ultimately responsible for ensuring that the transfer is 
    appropriately effected is not, however, to dictate the means by which 
    it meets that responsibility. Neither the statute nor the regulations 
    requires a hospital to operate an emergency medical transport service. 
    To this extent, the hospital may meet its obligations as it sees fit; 
    however, that does not mean HHS must accept the hospital's 
    determination.
        We also note that with regard to the general area of 
    transportation, although no specific comments were received concerning 
    ``transportation equipment'', the term has now been interpreted to 
    include all physical objects reasonably medically necessary for safe 
    patient transfer. Burditt v. U.S. Dept. of Health and Human Services, 
    934 F.2d 1362, 1373 (5th Cir. 1991). We agree with this interpretation. 
    To limit the appropriate transfer requirement to just that equipment 
    that is necessary and medically appropriate for life support measures 
    is too narrow an interpretation.
    Other Requirements
        Comment: Five commenters wrote in response to our request for 
    comments concerning the ``other requirements'' the Secretary may find 
    necessary in the best interests of transferred patients' health and 
    safety. They recommended that we require the use of a standardized 
    memorandum of transfer to be sent with every transferred patient to be 
    signed by both transferring and receiving physicians and to include 
    information regarding the patient's medical condition, treatment 
    received and reasons for transfer. One of the commenters also 
    recommended that calls between hospitals requesting transfers be tape 
    recorded.
        Another commenter suggested that the certification requirement in 
    proposed Sec. 489.24(d)(1)(i)(B) (now Sec. 489.24(d)(1)(ii)(B)) be made 
    a part of a standard transfer form. The commenters believed these 
    suggestions would educate hospital personnel, provide a record for 
    enforcement of the statute, help assure that the receiving physicians 
    receive appropriate medical information for each patient, and deter 
    patient dumping.
        Response: We believe that the requirements for requests for 
    transfer, certification, and the sending of medical records are 
    sufficient to provide the information necessary for the receiving 
    hospital to treat the individual and to detect inappropriate transfers 
    in order to fulfill its reporting requirement. While a memorandum of 
    transfer might provide a useful summary, we do not believe it is 
    necessary in light of our other requirements. Also note the earlier 
    Comment and Response concerning another recommendation for the use of 
    memoranda of transfer. Hospitals that frequently receive inappropriate 
    transfers may choose to document their transfers by tape recording 
    telephone requests in accordance with applicable State laws; however, 
    we believe it both costly and impractical to require all hospitals to 
    invest in technology to document transfer circumstances verbatim in 
    this way. In addition, since these additional requirements would need 
    to be adopted through the rulemaking process and the Secretary has not 
    elected to establish further requirements in this regulation, we are 
    not including in this final rule the language in proposed 
    Sec. 489.24(d)(2)(iv) concerning other requirements to avoid the 
    implication that there may be additional requirements not included in 
    this regulation.
    ``Appropriate'' Transfer
        Comment: One commenter raised the issue of whether all transfers 
    must be appropriately made (that is, effectuated) or whether the rules 
    governing appropriateness applied only to a physician-directed 
    transfer.
        Response: All transfers must be effectuated appropriately and the 
    statute and regulations already make this point. It is true that an 
    individual may demand a transfer that the physician does not believe is 
    appropriate, but once the decision to transfer has been made--by the 
    physician or the individual--the regulations and the law require that 
    it be done appropriately.
        Also with regard to appropriate transfers, we note that the 
    Secretary has taken the position that in proving that a hospital or 
    physician violated section 1867 of the Act, there is no requirement to 
    prove that the transfer was effected due to some ``impermissible 
    motive.'' This position has been upheld in Burditt v. U.S. Dept. of 
    Health and Human Services, 934 F.2d 1362, 1373 (5th Cir. 1991), wherein 
    the court rejected Dr. Burditt's argument that the statute requires 
    proof that the transfer was motivated by an improper or nonmedical 
    reason.
        Comment: One commenter thought that the phrase ``without prior 
    arrangement'' in Sec. 489.20(g) may imply that a hospital may transfer 
    a patient in violation of Sec. 489.24 if it is done with prior 
    arrangement.
        Response: We agree and are removing the phrase ``without prior 
    arrangement.''
        Comment: Two commenters believed that we should make the 
    requirements for appropriate transfer more specific. Another raised a 
    series of hypothetical questions and asked how the regulations would 
    apply.
        Response: We decline the invitation to attempt to define in advance 
    all circumstances making the transfer of an unstabilized individual 
    ``appropriate.'' There will be many medical emergencies arising in a 
    variety of settings. The proper handling of those emergencies will 
    depend upon the resources available and the exercise of medical 
    judgment focused on the best interest of the individual's health and 
    safety. We find the broad guidelines offered by Congress in section 
    1867(c)(2)(C) of the Act sufficiently specific to guide the exercise of 
    that discretion and our evaluation of cases in which dumping is 
    alleged. For the present we do not believe that any additional 
    elaboration is required or desirable.
        Comment: One commenter suggested that the regulations prevent any 
    transfers, including those of stable patients, unless that patient 
    requires services or facilities not available at the hospital when the 
    patient first arrived. Another commenter wanted ``stable'' patients to 
    be subject to the same ``appropriate transfer'' criteria as patients in 
    unstable condition because the regulatory definition of ``stabilized'' 
    does not require the emergency medical condition to be alleviated; it 
    only requires that no material deterioration be likely.
        Response: To accept these comments would go beyond the scope of the 
    statute, which does not regulate the transfer of stabilized 
    individuals. The statute allows hospitals to transfer an individual, 
    without meeting the requirements of an appropriate transfer, after his 
    or her emergency medical condition is stabilized. The statute does 
    require, however, that the transferring hospital provide whatever 
    medical treatment it can, within its capacity, to minimize the risks to 
    the individual with an unstabilized medical condition, and, in the case 
    of a woman in labor, to the unborn child.
        Comment: One commenter wanted the regulations to define the 
    situations in which obstetrical transfers are appropriate because in 
    the commenter's State, hospitals that do not offer obstetrical services 
    must always transfer pregnant patients in active labor, especially high 
    risk patients.
        Response: It is not necessary to revise the regulations to be this 
    specific. Regardless of practices within the State, COBRA and OBRA 89 
    permit a woman in labor or with an unstabilized emergency medical 
    condition to be transferred only if she (or someone acting on her 
    behalf) requests the transfer or if a physician signs a certification 
    that the benefits outweigh the risks. If the hospital does not provide 
    obstetrical services, the benefits may outweigh the risks of transfer 
    or the woman or her representative may request a transfer. However, we 
    cannot say categorically and in all cases that this will be true. (Note 
    also Response to next Comment.) Regardless of State law or practice, a 
    hospital must fulfill the requirements of the statute and cannot simply 
    cite State law or practice as the basis for a transfer under the 
    statute. We note that OBRA 89 removed the term ``active labor'' from 
    section 1867 of the Act and included the full range of symptoms that 
    term was intended to include within the scope of the term ``emergency 
    medical condition,'' which it redefined.
        Comment: A number of commenters suggested that we require a 
    hospital to accept a transfer when it has the capacity to treat the 
    patient and the requesting hospital does not. One suggested that we 
    require, as JCAHO does, that hospitals help to develop and promote 
    community-based plans for providing emergency services.
        Response: If an individual is to be transferred, section 
    1867(c)(2)(B)(ii) of the Act requires that the hospital obtain 
    agreement from the receiving hospital before a transfer is made. The 
    changes made to title XVIII of the Act by COBRA did not require 
    hospitals to accept all transfers, even when the transfer would be in 
    the individual's best interest. However, under the nondiscrimination 
    provision of section 1867(g) of the Act, as added by section 6211(f) of 
    OBRA 89, hospitals with specialized capabilities or facilities 
    (including, but not limited to, facilities such as burn units, shock-
    trauma units, neonatal intensive care units, or (with respect to rural 
    areas) regional referral centers as defined in Sec. 412.96), cannot 
    refuse to accept an appropriate transfer of an individual who requires 
    such specialized capabilities or facilities if the hospital has the 
    capacity to treat the individual. Accordingly, we have added the 
    nondiscrimination provision to Sec. 489.24 as new paragraph (e).
        In determining whether new Sec. 489.24(e) applies, we will assess 
    whether the individual required the recipient hospital's specialized 
    capabilities or facilities and if the hospital had the capacity to 
    treat the individual. The recipient hospital with specialized 
    capabilities or facilities has an obligation under section 1867(g) of 
    the Act to accept a transfer if the individual has an unstabilized 
    emergency medical condition and if the hospital has the capacity to 
    treat the individual. If a hospital desires to transfer an individual 
    to another hospital and the individual does not require any treatment 
    beyond the capabilities or facilities available at the transferring 
    hospital, the intended receiving hospital may refuse to accept the 
    transfer of the individual in accordance with section 1867(c)(2)(B)(ii) 
    of the Act.
        The purpose of this requirement is to prevent hospitals with 
    emergency departments from automatically transferring patients before 
    screening simply because the hospital does not offer a particular 
    service. For example, a hospital with an obstetrical department is not 
    required to accept a transfer of a woman in labor just because the 
    transferring hospital does not have an obstetrical department. If the 
    woman in labor is having a normal, uncomplicated delivery, and the 
    first hospital has the capacity to handle a normal, uncomplicated 
    delivery, despite the fact that it does not have an obstetrical 
    department, the first hospital is required under section 1867(b) of the 
    Act to provide the necessary stabilizing treatment, that is to deliver 
    the baby and the placenta, or to effect an appropriate transfer to 
    another hospital willing to accept the patient. Similarly, for an 
    individual with a simple, closed fractured arm, a hospital with an 
    orthopedic department and orthopedic physicians on call would not be 
    required to accept a transfer of the individual just because the 
    transferring hospital does not have an orthopedic service. The first 
    hospital is required under section 1867(b) of the Act to provide the 
    necessary stabilizing treatment or to effect an appropriate transfer to 
    another hospital willing to accept the patient.
        If a transferring hospital does not have the specialized 
    capabilities necessary to stabilize the patient's condition, the 
    intended receiving hospital with the specialized capabilities and 
    facilities must accept the patient under 1867(g) of the Act if it has 
    the capacity to treat the individual. The number of patients that may 
    be occupying a specialized unit, the number of staff on duty, or the 
    amount of equipment on the hospital's premises do not in and of 
    themselves reflect the capacity of the hospital to care for additional 
    patients. If a hospital generally has accommodated additional patients 
    by whatever means (for example, moving patients to other units, calling 
    in additional staff, borrowing equipment from other facilities) it has 
    demonstrated the ability to provide services to patients in excess of 
    its occupancy limit. For example, a hospital may be able to care for 
    one or more severe burn patients (a common example of specialized 
    service) without opening up a ``burn unit.'' In this example, if the 
    hospital has the capacity, the hospital would have a duty to accept an 
    appropriate transfer of an individual requiring the hospital's 
    capabilities, provided the transferring hospital lacked the specialized 
    services required to stabilize the individual.
        Situations may arise where a hospital in another country desires to 
    transfer an individual to a United States hospital because of the 
    United States hospital's specialized capabilities or facilities. 
    However, we note that the provisions of section 1867 of the Act are 
    applicable only when the transferring hospital is located within the 
    boundaries of the United States. Accordingly, Medicare participating 
    hospitals are not obligated to accept transfers from hospitals located 
    outside of the boundaries of the United States. This does not change 
    the requirement that a Medicare participating hospital that offers 
    emergency services, must provide, upon request and within its 
    capabilities, an appropriate medical screening examination, stabilizing 
    treatment, and/or an appropriate transfer to another medical facility 
    to any individual with an emergency medical condition, even if the 
    individual is not a United States citizen.
        Concerning community plans, the use of cooperative agreements to 
    facilitate appropriate transfers would be a positive step, and we 
    recognize that a suggestion for using the JCAHO approach is 
    constructive; however, we do not believe that this regulation is an 
    appropriate vehicle to mandate community-based plans for the delivery 
    of emergency services.
        Comment: One commenter suggested that after a patient is stabilized 
    we require hospitals to undertake either medically indicated treatment 
    or transfer the patient, rather than discharge him or her. The 
    commenter stated that a person in stable condition could be seriously 
    ill and, if discharged, the condition could worsen.
        Response: Section 1867 of the Act does not impose any requirements 
    on hospitals with respect to the treatment or transfer of individuals 
    whose emergency condition has been stabilized.
        Comment: One commenter suggested that we revise the definition of 
    ``appropriate transfer'' to state that the receiving hospital ``has 
    indicated that it has available space and qualified personnel for the 
    treatment of the patient.'' This would clarify the responsibility for 
    determining the capability of the receiving hospital.
        Response: We do not believe it is necessary to add any further 
    specificity to this requirement because, as indicated above, it is 
    understood that the records will have to verify that the receiving 
    hospital has indicated to the transferring hospital that it has agreed 
    to treat the individual, which implies that it had the available space 
    and qualified personnel to treat that individual.
        Comment: Two commenters recommended that the regulations specify 
    which person(s) at the receiving hospital may consent to receive the 
    patient.
        Response: We believe it is properly the receiving hospital's 
    decision as to who may consent to receive patients and how to implement 
    this policy among its staff.
        Comment: One commenter suggested that the regulations specifically 
    state that the transferring physician is legally responsible for the 
    patient's care until the patient is admitted to the receiving hospital.
        Response: We do not believe it is appropriate to make this an 
    explicit requirement of the regulations. The statute makes clear that 
    the transferring hospital is responsible for ensuring that when the 
    individual is transferred, the transfer is ``appropriate.'' The 
    hospital, in ensuring that the individual is appropriately transferred, 
    may, for example, delegate to the transferring physician the duty to 
    ensure that the transfer is made through the use of appropriate 
    personnel or equipment. Further, section 1867 of the Act and the 
    regulations require that the hospital must provide medical care within 
    its capabilities to minimize the risks associated with transfer; this 
    too may be delegated to a physician. In this way, the physician may be 
    responsible for the patient's care during the transfer.
    Reporting Violations
        Comment: One commenter suggested that we allow transferring and 
    receiving hospitals an opportunity to work out an agreement for 
    handling transfers before we mandate formal reporting procedures, which 
    might have the unintended result of pitting one hospital against 
    another.
        Response: We encourage local hospitals, municipalities, and States 
    to develop cooperative transfer agreements; however, the formal 
    reporting procedures are an integral part of the Department's 
    enforcement scheme to ensure that hospitals are complying with the 
    statute. To the extent that hospitals do have agreements for handling 
    transfers in accordance with the statute, and act in accordance with 
    that agreement, then the statute will not be violated and the necessity 
    for reporting violations will be diminished.
        Comment: Four commenters believe that the requirement that 
    hospitals report suspected violations of section 1867 of the Act within 
    72 hours of their occurrence is too rigid and should be changed to 
    ``with reasonable promptness'' to deter excessive reporting and to 
    allow for investigation by the hospital to assure that reporting is 
    warranted.
        Response: If transfers occur that needlessly jeopardize people's 
    lives, HCFA must have that information immediately to meet its 
    responsibility to assure that these inappropriate transfers cease 
    quickly. Therefore, we have made no changes.
        Comment: One commenter recommended that the 72-hour reporting 
    requirement for receiving hospitals suspecting improper transfers 
    should begin from the time a problem is first identified rather than 
    from the date of the transfer.
        Response: The time of the receipt of an improperly transferred 
    patient is the time of the occurrence. We do not see any substantive 
    time difference between the time of receipt and the time of 
    identification that a patient had been improperly transferred. However, 
    to make reporting less onerous, we are revising Sec. 489.20(m) and 
    Sec. 489.53(a)(10) to require a hospital to report to either HCFA or 
    the State agency, rather than both as proposed.
        Comment: One commenter suggested that the regulation be amended to 
    permit HCFA to terminate a receiving hospital only for a ``knowing'' 
    failure to report suspected violations.
        Response: We see no reason to require that HCFA prove that a 
    hospital ``knowingly'' violated its obligation to report instances of 
    suspected dumping before it may take action against a non-complying 
    hospital. As with other conditions of participation imposed on 
    providers for the protection of the health and safety of those 
    benefitted by title XVIII, including those protected by section 1867 of 
    the Act, whether a hospital fails to meet its obligations knowingly is 
    of little concern to those the requirement is designed to benefit. We 
    believe this is especially true since section 4008(b)(3) of OBRA 90 
    deleted the provision under which HCFA had to show first that the 
    hospital's actions were either knowing and willful or negligent before 
    terminating the hospital's provider agreement. We do not believe the 
    enhanced enforcement and, hence, deterrence, behind requiring receiving 
    hospitals to report instances of suspected dumping, would be advanced 
    by adding any requirement that the violation be knowing before a 
    hospital's failure to report could result in its termination. We expect 
    hospitals to have and enforce policies and procedures to require its 
    employees and staff physicians to report to the administration 
    instances where an individual has been inappropriately transferred 
    under this statute.
        Comment: Two commenters believe that HCFA and State survey agencies 
    should protect the receiving hospitals and their personnel from legal 
    actions for reporting alleged cases of improper transfer.
        Response: We do not have the authority to confer immunity on a 
    provider that identifies an alleged improper transfer under these 
    regulations. However, HCFA has a history of protecting the identity and 
    confidentiality of entities who report program violations and this 
    protection will be extended to hospitals and individuals reporting 
    improper transfers. Additionally, we also note that section 4027(k)(3) 
    of OBRA 90 amended section 1867(i) of the Act (Whistleblower 
    Protections), which was enacted under OBRA 89, to prevent a hospital 
    from penalizing or taking adverse action against any hospital employee 
    because the employee reported a violation of this requirement. We have 
    revised Sec. 489.24(d)(3) of the regulations to reflect this statutory 
    amendment.
        Comment: Eight commenters claimed that the statute does not support 
    the obligation to report suspected dumping or provide for the 
    termination of a provider that does not report suspected violations. 
    Five commenters suggested that we extend the responsibility to report 
    suspected dumping violations to all Medicare providers and suppliers; 
    ambulance service suppliers, in particular, are in a position to 
    suspect violations if the hospital to which the ambulance is 
    transporting the patient refuses to accept that patient. Several 
    commenters recommended that the reporting requirements be extended to 
    physicians and that a failure to comply with these requirements would 
    subject the physician to a civil monetary penalty.
        Response: We believe our requirements relating to reporting 
    instances of dumping are supported by current law. Section 1861(e)(9) 
    of the Act permits the Secretary to impose on hospitals such other 
    requirements as he finds necessary in the interest of the health and 
    safety of individuals who are furnished services in the institution. It 
    is under this authority that the Secretary has obligated hospitals that 
    participate in Medicare to report when they receive patients that have 
    been inappropriately transferred. Under section 1866(b)(2) (A) and (B) 
    of the Act, the Secretary may terminate the provider agreement of a 
    hospital that is not complying substantially with the statute and 
    regulations under title XVIII or that no longer substantially meets the 
    provisions of section 1861 of the Act.
        Application of the anti-dumping provisions to all Medicare 
    providers and suppliers should occur through a statutory amendment. 
    Section 1867 of the Act imposes duties directly only on hospitals that 
    provide emergency services to which individuals come for screening or 
    treatment. No similar statutory authority generally exists to regulate 
    the conduct of non-providers, suppliers and practitioners.
        Comment: Many commenters believe that we should not require 
    receiving hospitals to report suspected cases of dumping, since it may 
    lead to overreporting or malicious reporting in addition to unnecessary 
    work and extra costs for HCFA and hospitals.
        Response: We disagree. We are looking to those institutions in the 
    best position to discern when an inappropriate transfer has taken place 
    in violation of the statute, because Congress regards them also as 
    victims of ``dumping''. (See section 1867(d)(2)(B) of the Act.) This 
    reporting requirement is not, however, an impediment to negotiation 
    among hospitals for the care of emergency patients. Indeed, it should 
    encourage hospitals to cooperate in planning for appropriate emergency 
    care by eliminating inappropriate transfers.
        Comment: Several commenters wanted us to define ``suspected,'' so 
    hospitals will have further guidance concerning when they must report 
    violations. These commenters also recommended that we define which 
    individuals in the hospital must hold the suspicion.
        Response: We agree that ``suspected'' is a vague term. As a result 
    we are revising proposed Sec. 489.53(a)(10) to require a hospital to 
    report violations when a hospital has reason to believe that a 
    violation has occurred. However, we see no need to define which 
    individuals in a hospital must hold the suspicion since we do not want 
    to narrow the source of reports.
    Definitions
    Active Labor
        Comment: Several commenters recommended that we adopt the 
    definition of active labor used by the Office for Civil Rights (OCR) in 
    enforcing a hospital's Hill-Burton obligations contained in 42 CFR 
    124.603(b). One commenter stated that there are also written decisions 
    and directives interpreting this issue and that using the OCR 
    definition would relieve Hill-Burton facilities of the risk of being 
    required to comply with inconsistent treatment standards for women in 
    active labor.
        Response: We have not adopted the commenters' suggestion, because 
    section 6211(h)(1)(B) of OBRA 89 deletes the definition of ``active 
    labor'' in section 1867(e)(2) of the Act. However, the concepts 
    contained in that definition have now been clarified and included in 
    the definition of ``emergency medical condition'' defined in section 
    1867(e)(1) of the Act.
        Comment: One commenter asked us to make it clear that even though 
    it may be difficult to state whether delivery is imminent, a woman 
    would be in ``active labor'' as that term is defined in section 
    1867(e)(2) of the Act (as added by COBRA), if there was either 
    inadequate time to effect safe transfer to another hospital before 
    delivery or if a transfer might pose a threat to the health and safety 
    of the woman or the unborn child.
        Response: We agree. The proposed regulation restated the statutory 
    definition, and, hence, reiterated that the transfer of a woman in 
    labor is subject to the provisions of section 1867 of the Act if any of 
    the following three conditions pertain: (a) delivery is imminent; (b) 
    there is inadequate time to effect safe transfer to another hospital 
    prior to delivery; or (c) a transfer may pose a threat to the health 
    and safety of the woman or the unborn child. Section 6211(h)(2) of OBRA 
    89 amended section 1867(e) of the Act by deleting both the term 
    ``active labor'' and the part of the definition that covers women in 
    labor where delivery is imminent. The definition of ``emergency medical 
    condition'', however, was expanded to include a woman who is having 
    contractions when there is inadequate time to effect safe transfer to 
    another hospital before delivery or a woman who is having contractions 
    where the transfer may impose a threat to the health or safety of the 
    woman or the unborn child. The OBRA 89 amendments clarified the scope 
    of the statutory protections. We have amended Sec. 489.24(b) 
    accordingly. In addition, the statute also refers to women in labor. We 
    have defined the term ``labor'' in Sec. 489.24(b).
        Comment: Two commenters wanted the regulations to emphasize that 
    the ``active labor'' definition applies only in prenatal situations in 
    which no other prenatal emergency is present and that a pregnant woman 
    with an emergency medical condition should be admitted even if not yet 
    in active labor.
        Response: The regulations that apply to emergency medical 
    conditions apply equally to a pregnant woman whose emergency condition 
    does not involve active labor. As noted above, OBRA 89 changes 
    eliminated the term ``active labor'' and included pregnant women within 
    the meaning of the term ``emergency medical condition.''
    Emergency Medical Condition
        Comment: Many commenters recommended that we adopt the definition 
    of ``emergency'' used by the American College of Emergency Physicians 
    (ACEP), standards that are already widely applied in the profession.
        Response: We believe that the ACEP definition is not suitable for 
    purposes of requirements under section 1867 of the Act because it is 
    designed to assure that cases in which the patient believes that an 
    emergency medical condition exists are, in fact, emergencies. We 
    believe that section 1867 of the Act only applies to actual emergencies 
    as determined by appropriate medical screening. Therefore, we have not 
    adopted this recommendation.
        Comment: One commenter asked us to cite the court cases from which 
    the phrases ``serious impairment to bodily function'' and ``serious 
    dysfunction of any bodily organ or part'' emanated.
        Response: These phrases are taken directly from the definitions in 
    section 1867(e)(1) of the statute. There is no legislative history that 
    indicates that Congress took them from reported court decisions.
        Comment: One commenter wanted the phrase ``placing the patient's 
    health in serious jeopardy'' removed from the definition of emergency 
    medical condition because it is not a result or an outcome from not 
    providing emergency medical treatment but rather is only speculation.
        Response: We do not agree to delete the phrase ``placing the 
    patient's health in serious jeopardy.'' The definition parallels the 
    statute and as such reflects Congressional intent. All of the phrases 
    contained in the definition of emergency medical condition describe 
    outcomes that are likely to result from the denial of immediate 
    attention upon the exercise of medical judgment to predict what would 
    happen to the individual if appropriate medical attention was not 
    provided immediately.
        Comment: Nine commenters wanted the definition to include 
    psychiatric emergency; one commenter wanted the definition to include 
    acute alcohol or drug intoxication.
        Response: We believe that the statutory definition already 
    encompasses these types of cases. However, for clarification purposes, 
    we have revised Sec. 489.24(b) to add acute alcohol or drug 
    intoxication (substance abuse) and psychiatric manifestations as 
    sufficiently severe medical symptoms to warrant the label ``emergency 
    medical condition.''
    Stabilized
        Comment: Nine commenters stated that the definitions of 
    ``stabilized'' or ``stabilization'' are too vague or ambiguous to be 
    useful in determining whether a patient was appropriately transferred. 
    Some commenters suggested alternative definitions while others 
    suggested we prohibit transfers not based solely on explicit medical 
    reasons.
        Response: The statutory and regulatory definitions of ``to 
    stabilize'' and ``stabilized'' are necessarily broad to apply to all 
    types of emergency medical conditions. The basic precept of these 
    definitions is to ensure that no material deterioration occurs to a 
    patient's condition either as a result of the transfer or because the 
    patient is outside a hospital, and thus without the facilities and 
    services available in a hospital. We do believe, however, that at least 
    one clarifying revision should be incorporated into the regulations to 
    ensure that a patient with an emergency medical condition will not be 
    transferred unless, within reasonable medical probability, no material 
    deterioration of the condition is likely to result from, or occur 
    during, the transfer. This revision is also consistent with section 
    6211(h)(1)(C)(ii) of OBRA 89. The regulations are being revised 
    accordingly. The regulations do prohibit hospital-initiated transfers 
    that are not based solely on explicit medical reasons. This does not 
    imply, however, in proving that a hospital or physician violated 
    section 1867 of the Act, that the Secretary must prove the transfer was 
    effected due to an impermissible or nonmedical motive. (See Burditt v. 
    U.S. Department of Health and Human Services, 934 F.2d 1362, 1373 (5th 
    Cir. 1991).) It should be noted that the regulations also allow an 
    individual to request and receive a transfer for any reason as long as 
    the individual is aware of the risks and benefits of the transfer.
        Comment: One commenter stated that a woman in active labor should 
    never be considered stabilized until after the baby is born.
        Response: COBRA and the proposed regulations require emergency 
    medical conditions to be stabilized. We agree with the commenter and 
    pursuant to sections 6211(c)(3)(A), 6211(c)(5)(B) and 6211(h)(1) of 
    OBRA 89 we are revising Sec. 489.24(b), (d)(1)(ii)(B) and (d)(2)(i) to 
    indicate that a woman falling within the scope of section 1867(e)(1)(B) 
    of the Act is not stabilized at least until the child and the woman's 
    placenta are delivered.
        Comment: One commenter suggested that the regulations mandate that 
    if an individual is going through alcohol detoxification, 5 to 7 days 
    is necessary to stabilize the condition.
        Response: We cannot specify the length of time that it will take to 
    stabilize a specific condition, as a specific time period would rarely 
    be applicable in all cases. The statutory definition, as applied, 
    prevents a hospital from transferring an individual who is going 
    through alcohol detoxification if that condition constitutes an 
    emergency medical condition, until that individual can make the 
    transfer without a material deterioration of the condition occurring 
    during, or resulting from, the transfer. Therefore, we are not adopting 
    this suggestion.
    Screening Examination
        Comment: Several commenters asked us to define the term 
    ``appropriate medical screening examination'' so that hospitals and 
    physicians are not subject to ambiguous requirements.
        Response: It is impossible to define in advance all of the 
    circumstances in which an individual may come to a hospital emergency 
    department. What will constitute an appropriate medical screening 
    examination will vary according to the condition of the individual and 
    the capabilities of the hospital's emergency department--both its 
    facilities and available personnel, including on-call physicians. 
    Within those capabilities, the examination must be sufficient to detect 
    whether or not the individual has an emergency medical condition or is 
    in labor because the law only requires hospitals to provide screening 
    and stabilizing treatment within their existing capabilities. Our 
    current condition of participation for emergency departments contains 
    basic requirements, the specificity of which were subject to public 
    comment in connection with the revision of the hospital conditions of 
    participation.
    Investigations
        Comment: Six commenters recommended that HCFA should notify the 
    involved hospital or physician of a decision to investigate.
        Response: HCFA ordinarily conducts only unannounced surveys in 
    response to complaints, as to do otherwise could compromise the 
    investigation.
        Comment: One commenter stated that we have not been informing 
    complainants of the outcome of investigations; another recommended that 
    we consult with complainants during the course of investigations, 
    especially when there is conflicting evidence or the hospital raises 
    mitigating circumstances.
        Response: On June 4, 1987, HCFA issued interim implementing 
    procedures requiring HCFA regional offices to notify complainants of 
    the outcome of investigations. This is HCFA practice; complainants may 
    address their specific inquiries to their respective HCFA regional 
    offices. Complainants are consulted when there are conflicts.
        Comment: Two commenters recommended that the OIG seek the maximum 
    civil monetary penalty for every violation of the statute. One 
    commenter believes that there should be a presumption in favor of 
    imposing the statutory maximum and that a lack of prior offenses should 
    not be considered a mitigating circumstance unless the hospital can 
    produce a log of prior transfers showing its history of compliance.
        Response: Congress did not specify a fixed monetary penalty for 
    every violation. Instead, it provided for hospitals and responsible 
    physicians to be subject to a civil monetary penalty ``of not more 
    than'' $25,000 for violations occurring before December 22, 1987 and 
    ``of not more than'' $50,000 for violations occurring on or after that 
    date. The civil monetary penalty section was amended in OBRA 90 to 
    provide a maximum penalty of $25,000 for hospitals with fewer than 100 
    state-licensed, Medicare-certified beds. By setting a maximum amount, 
    Congress implied that the Secretary was to exercise her discretion in 
    selecting an appropriate amount up to that maximum.
        The OIG will not consider the lack of a prior history of offenses 
    to be a mitigating circumstance, but it may consider a history of 
    inappropriate transfers to be a factor that would warrant imposition of 
    a penalty at or near the statutory maximum. Only if a hospital or 
    physician could offer positive evidence of a history of statutory 
    compliance (for example, by producing logs of its disposition of 
    individuals who had come to the emergency department) would the OIG be 
    inclined to regard the violation as an isolated aberration.
        Comment: One commenter suggested that if the hospital has 
    identified, evaluated, and taken action or determined that action need 
    not be taken to correct a transfer or emergency care problem, a penalty 
    should not be imposed against the hospital or responsible physician.
        Response: We disagree. To deter future violations of the statute, 
    Congress intended that violations be sanctioned regardless of whether a 
    violating hospital took remedial action. Such remedial action may 
    prevent the hospital from suffering the consequences of a termination 
    of its provider agreement and the resulting loss of Medicare payment, 
    but it does not shield it from liability for civil monetary penalties 
    if the violations were negligent. Congress enacted section 1867 of the 
    Act because it perceived that hospitals were not policing themselves 
    sufficiently to prevent inappropriate transfers.
        Comment: One commenter questioned how the regulations can impose a 
    civil monetary penalty of up to $50,000 when the statute only allows a 
    penalty of up to $25,000.
        Response: Section 4009(a)(1) of OBRA 87 amended section 1867(d) of 
    the Act to increase the maximum civil monetary penalty from $25,000 to 
    $50,000, effective December 22, 1987. Any violation occurring after 
    December 22, 1987 is therefore subject to a maximum fine of up to 
    $50,000 while violations occurring prior to December 22, 1987 are only 
    subject to a maximum fine of up to $25,000. We are amending 42 CFR 
    1003.103 accordingly. However, section 4008(b)(2) of OBRA 90 again 
    amended the statute by reducing the maximum penalty against hospitals 
    with fewer than 100 state-licensed, Medicare-certified beds of $25,000.
        Comment: One commenter stated that civil monetary penalties of up 
    to $50,000 constituted a criminal sanction that will place physicians 
    in the position of balancing responsible medical judgment against the 
    fear of fines for an unanticipated event that may occur during 
    transfer; this will have negative effect on emergency care.
        Response: The maximum amount of the penalty is determined by the 
    statute and cannot be changed in these regulations. The statute 
    expressly provides for a civil monetary penalty of not more than 
    $50,000 if a hospital or physician who is responsible for the 
    examination, treatment or transfer of an individual in a participating 
    hospital violates a provision of section 1867 of the Act. This penalty 
    is civil in nature and does not constitute a criminal sanction.
    Civil Enforcement
        Comment: One commenter stated that there is no statutory authority 
    or Congressional intent allowing citizens to bring suit in the Federal 
    courts for personal harm.
        Response: Section 1867(d)(2)(A) of the Act specifies that an 
    individual who suffers personal harm as a direct result of a hospital's 
    violation may bring a civil action against the participating hospital, 
    thus creating a Federal private right of action by such an individual. 
    See Bryant v. Riddle Memorial Hospital, 689 F. Supp. 490 (E.D. Pa. 
    1988).
    Preemption of State and Local Laws
        Comment: Three commenters expressed concerns about the statutory 
    provision that states that section 1867 of the Act does not preempt 
    State or local law except where they conflict. One of these commenters 
    thought that Federal law should not supersede State and local law 
    except where the State is not fulfilling its obligation under the law; 
    another commenter believed we should grant immunity to hospitals 
    following Federal statute in conflict with State law. The third 
    commenter said this provision would result in more State regulation 
    where States have similar laws.
        Response: Section 1867(f) of the Act explicitly states that the 
    provisions of section 1867 do not preempt any State or local law 
    requirement except in cases of a direct conflict. This statutory 
    statement cannot be removed based on negative public comment. We 
    believe, however, that the second commenter misunderstood the 
    provision: when Federal law conflicts with State law, Federal law 
    prevails.
    Disclosure
        Comment: One commenter believes that the investigative file on an 
    alleged violation should not be subject to public disclosure.
        Response: The Freedom of Information Act (5 U.S.C. 552) permits 
    public access to agency records except to the extent that such records 
    or parts thereof fall within specified exemptions under 5 U.S.C. 
    552(b). A statutory amendment would be required to adopt the 
    commenter's suggestion, since there is no blanket exemption under the 
    Freedom of Information Act for documents compiled in investigating 
    complaints of violations of section 1867 of the Act.
        Comment: Twelve commenters believe that it is not appropriate for 
    HCFA to notify other components of the Department about alleged 
    violations as each will then conduct its own investigations. The 
    commenters recommended that HCFA notify the OIG and the Office for 
    Civil Rights only when it determines that there was a violation.
        Response: The authority for enforcing the requirements of this 
    provision was delegated by law to the Secretary of Health and Human 
    Services. All of the components of the Department mentioned by the 
    commenters have responsibilities in connection with the enforcement of 
    this provision and/or other provisions, such as the civil rights and 
    rehabilitation acts. We believe it is entirely appropriate that these 
    components be notified early in the process and begin to carry out 
    their functions.
        Comment: One commenter expressed concern that a provider may be 
    subject to double jeopardy if HCFA is allowed to terminate the provider 
    agreement for violating section 1867 of the Act and then, for the same 
    violation, the OIG is authorized to suspend the provider. Several 
    commenters expressed concern that a provider is subject to double 
    jeopardy since, for an alleged single inappropriate transfer, OIG may 
    suspend a provider and subject the provider to civil monetary penalties 
    even if HCFA determines there is no violation.
        Response: A provider agreement can no longer be suspended for a 
    violation of section 1867 of the Act since, as we previously indicated, 
    section 4008(b)(3) of OBRA 90 deleted the suspension provisions 
    contained in the original legislation. If, however, HCFA begins a 
    termination action based on a violation of the statute, but the 
    hospital avoids termination by demonstrating to HCFA's satisfaction 
    that it has in place effective policies and procedures to prevent a 
    recurrence, the OIG remains free to seek civil monetary penalties 
    against the hospital and physician for the violation of the statute on 
    which the termination action was originally based.
        Comment: Seven commenters believe that when HCFA notifies a 
    complainant and other entities about the receipt of alleged violations, 
    this implies guilt and may result in frivolous lawsuits.
        Response: HCFA notifies organizations of complaints before 
    investigating expressly to make the point that no decision has been 
    made about the complaint but that an investigation is being conducted. 
    We do not believe that the subject of a complaint should be unaware of 
    the complaint, and we certainly do not believe that receipt of a 
    complaint establishes or even implies that there is a violation.
        Comment: One commenter stated that, in order to avoid duplication 
    of effort, the regulations should limit OIG investigation to those 
    cases where it finds a pattern of noncompliance, with willful violation 
    of the provisions, or where there is some indication of fraud or abuse 
    against the Medicare program.
        Response: The law does not require a pattern of violations or 
    willful noncompliance for the Department to invoke sanctions. The OIG 
    may impose a civil monetary penalty for a single violation of the 
    statute. The statute was amended in OBRA 90, however, to allow the OIG 
    to exclude physicians from participation in the Medicare and State 
    health care programs only if the violation is ``gross and flagrant or 
    repeated.''
        The term ``gross and flagrant'' is also used in section 1156 of the 
    Act, 42 U.S.C. 1320c-5, and has been defined in regulations at 42 CFR 
    1004.1(b). This definition has been challenged for being 
    unconstitutionally vague and the courts have disagreed, upholding the 
    Department's interpretation of the term. See, for example, Lavapies v. 
    Bowen, 883 F.2d 465 (6th Cir. 1989); Doyle v. Secretary of Health and 
    Human Services, 848 F.2d 296 (1st Cir. 1988); Varandani v. Bowen, 824 
    F.2d 307 (4th Cir. 1987). It is against this background that Congress 
    amended section 1867 of the Act to allow a physician to be excluded 
    only if the violation is ``gross and flagrant or repeated.'' (``The 
    legislature is presumed to know the prior construction of the original 
    act or code and if previously construed terms in the unamended sections 
    are used in the amendment, it is indicated that the legislature 
    intended to adopt the prior construction of those terms.'' Sutherland 
    Stat. Const. Sec. 22.35 (4th Ed.).) As a result, we have defined this 
    term in Sec. 1003.105 to be consistent with the definition contained in 
    Sec. 1004.1(b). The regulation now states:
    
        For purposes of this section, a gross and flagrant violation is 
    one that presents an imminent danger to the health, safety, or well-
    being of the individual who seeks emergency examination and 
    treatment or places that individual unnecessarily in a high-risk 
    situation.
    
        Comment: One commenter believes that HCFA and the OIG should 
    coordinate enforcement activities to avoid duplication of effort and 
    unnecessary administrative costs. In addition, the commenter suggested 
    there be a central review to prevent components from taking multiple 
    enforcement measures against a hospital or physician for the same 
    violation.
        Response: We agree that every effort should be made to coordinate 
    enforcement actions. However, some of the issues relating to multiple 
    enforcement measures have been mitigated by the amendments in OBRA 90 
    that deleted the suspension authority. HCFA's authority is to determine 
    compliance with the requirements of section 1867 of the Act.
        The OIG has the authority for civil monetary penalties and 
    physician exclusion from the Medicare program.
        Comment: One commenter objected to the OIG, rather than the 
    Secretary, having the discretion to waive an exclusion under 
    Sec. 1003.105.
        Response: The Secretary has delegated the discretion to waive an 
    exclusion under Sec. 1003.105 to the OIG, and the regulations were 
    amended in 1986 (51 FR 34777) to reflect this.
        Comment: One commenter objected to suspending a provider from the 
    Medicare program for a single instance of an inappropriate transfer.
        Response: Section 4008(b)(3) of OBRA 90 deleted the suspension 
    authority from section 1867(d) of the Act.
        Comment: One commenter believes that the statute and the regulation 
    will unduly penalize hospitals that are making good faith efforts to 
    comply with the provisions.
        Response: We disagree. As long as a hospital complies with the 
    provisions it will not be subject to penalty.
        Comment: Two commenters believe that active enforcement of these 
    provisions will force many hospitals to close their emergency 
    departments to avoid potential liabilities.
        Response: We disagree. The impact of discontinuing an emergency 
    services department, which is among the top income producers in a 
    hospital, will outweigh the risk of potential losses due to violations 
    of this regulation, especially since improved management of emergency 
    departments can avoid the risk of violation.
        Comment: One commenter stated that these regulations would give the 
    government carte blanche authority to investigate any and all records 
    for suspected violations. He felt that this ability would enable one 
    hospital to slow down another with unnecessary, costly, and time-
    consuming investigations if it makes frivolous complaints about it.
        Response: Congress has mandated that the Secretary enforce section 
    1867 of the Act. All credible alleged violations require a thorough 
    investigation. Rather than overzealousness, the OIG has to date found 
    and reported a marked reluctance on the part of hospitals to report 
    suspected inappropriate transfers. (Office of Inspector General, 
    ``Patient Dumping After COBRA: Assessing the Incidences and the 
    Perspectives of Health Care Professionals'' (Aug. 1988).)
        Comment: One commenter believes that the HCFA Administrator should 
    retain the termination authority, rather than delegate it to the 
    regional offices, as these termination decisions are best administered 
    on a national level.
        Response: All terminations are authorized by the respective HCFA 
    regional office as part of its general responsibility for operating the 
    survey and certification function for HCFA. This authority is delegated 
    to the regional office because of its knowledge of State and local 
    matters and its proximity to the providers it is overseeing and to the 
    beneficiaries within its region.
        Comment: Nineteen commenters objected that 2 days was too short a 
    period to correct a problem or deficiency before a termination. One 
    commenter agreed that the termination should occur within 2 days.
        Response: Violations of section 1867 of the Act have the potential 
    to be immediate and serious threats to patient health and safety. 
    Therefore, we believe that it is essential that a violation that poses 
    an immediate and serious threat be corrected as rapidly as possible.
        In cases where it has been determined that the violation poses an 
    immediate and serious threat to patient health and safety, a hospital 
    will be placed on a 23-day termination track. On day 1, the hospital 
    will receive a preliminary notice of termination from the regional 
    office stating that a violation has been identified and that the 
    projected date of termination will be on day 23. The preliminary notice 
    of termination will also inform the hospital that the HCFA regional 
    office will issue a final notice of termination and inform the public 
    of the date of termination at least 2 days, but not more than 4 days, 
    before the projected date of termination. Thus, the final notice to the 
    hospital and the public concerning the termination of the hospital's 
    provider agreement for a violation that poses an immediate and serious 
    threat to patient health and safety will be issued between day 19 and 
    day 21 of the 23-day termination track.
        The preliminary notice of termination will also inform the hospital 
    that it may avoid the termination action by either providing credible 
    evidence of correction of the deficiencies or by successfully showing 
    that the deficiencies did not exist. The hospital will have an 
    opportunity to make such a showing to the regional office between day 1 
    and day 19 of the termination process. If the hospital is successful, 
    the regional office will stop the termination process, and there will 
    not be a public notice of termination. If verification of correction 
    does not occur before the 19th day of the termination track, the 
    hospital receives a final notice of termination, and the public is 
    concurrently notified by publication of the effective date of the 
    termination in the newspaper.
        In cases that do not involve an immediate and serious threat to 
    patient health and safety, a hospital will be placed on a 90-day 
    termination track. The hospital will receive a preliminary notice of 
    termination on day 1, and will be notified that the projected 
    termination date will be on day 90. We will continue our current 
    practice, set forth in Sec. 489.53(c)(1), of issuing a final notice of 
    termination to the hospital and the public 15 days prior to the 
    effective date of termination. Thus, in situations where the violation 
    does not constitute an immediate and serious threat to patient health 
    and safety, public notice of the effective date of the termination will 
    be given on approximately day 75 of the 90-day termination process 
    unless the hospital successfully shows that correction has occurred.
        Comment: One commenter requested that a hospital be given an 
    opportunity to meet informally with the State agency, HCFA and possibly 
    a third party (such as a PRO) before HCFA makes a determination that 
    there is a violation. Problems could be resolved without resorting to a 
    termination.
        Response: With regard to possible civil monetary penalties or 
    physician exclusion, OBRA 90 responds to the commenter's suggestion. 
    Under section 1154(a)(16) of the Act, as added by section 4027(a)(1)(B) 
    of OBRA 90, PRO must provide reasonable notice of the review to the 
    physician and hospital involved and a reasonable opportunity for 
    discussion and submission of additional information prior to providing 
    their report to HCFA. Thus, we believe that the commenter's concerns 
    are mitigated by this new statutory language.
        With regard to termination, HCFA regional office staff may meet 
    with the hospital's representatives before determining compliance or 
    noncompliance if they decide they need additional information to make a 
    compliance determination. If, after reviewing the State agency finding 
    and medical review findings (if requested), the regional office staff 
    has sufficient information to make a determination, they may decide not 
    to meet informally with the hospital's representatives. Options for 
    resolving the deficiencies do not affect the compliance determination.
        Comment: One commenter stated that mandatory termination is not 
    consistent with the statute. Seven commenters recommended that the 
    regulations not state that any violation will result in termination; 
    termination should be imposed only for particularly egregious 
    violations or a pattern of repeated violations. Several commenters 
    questioned the basis for considering a violation to pose an immediate 
    and serious threat, especially when there is only one violation. Five 
    of these commenters thought single violations should be sanctioned with 
    civil monetary penalties.
        Response: Section 1866(b)(2) of the Act permits HCFA to terminate 
    but does not require HCFA to do so. There are cases in which a 
    violation has occurred but in which HCFA has not chosen to terminate. 
    For example, if a routine recertification survey shows that a 
    hospital's internal quality assurance identified a violation that 
    occurred 6 months ago, and since then the hospital has been functioning 
    effectively under a corrective action plan, and the hospital is in 
    compliance with all other conditions of participation, HCFA may 
    determine that although the hospital did violate the statute 6 months 
    earlier, a termination is not warranted at the time of the survey.
        The statute does not limit termination action to hospitals that 
    have a pattern of violations. A single violation may result in the 
    initiation of termination procedures. However, HCFA is more interested 
    in hospitals correcting their deficiencies and remaining available to 
    serve patients than in terminating them from Medicare participation. As 
    a result, HCFA regional office staff have generally exercised their 
    authority to permit correction before the effective date of termination 
    as justification for rescinding the termination. On the other hand, 
    hospitals that do not correct the deficiencies that permitted a 
    violation to occur may represent an immediate and serious threat to 
    people seeking emergency care. In such a case, HCFA will move quickly 
    to either assure that the deficiencies that led to the violation are 
    corrected or to terminate the hospital's provider agreement. It should 
    be noted that section 4008(b)(3) of OBRA 90 deleted the termination and 
    suspension language from section 1867(d) of the Act. Terminations due 
    to violations of section 1867 of the Act are now subject to the regular 
    provider agreement rules in section 1866 of the Act.
        We believe that the immediate and serious threat concept applies to 
    a provider's potential for causing harm as a result of lax policies and 
    procedures as well as the danger posed by patently unsafe physical 
    conditions or staffing shortages. Thus, we believe that operating in a 
    manner that potentially subjects individuals to the threat of summary 
    transfer without treatment may pose an immediate and serious threat to 
    individuals who present themselves to the hospital for treatment. As 
    noted above, if the provider is able to demonstrate that this is not 
    the case, the termination is withdrawn and the provider's participation 
    in the program is uninterrupted.
        Hence, while a single violation may very well be sanctioned with 
    civil monetary penalties, nothing in the statutory scheme suggests that 
    the authority to terminate a hospital's provider agreement should be 
    limited by the number of violations.
        Comment: One commenter objected to the application of ``fraud and 
    abuse'' concepts to quality of care issues; for example, degree of 
    culpability of the hospital or responsible physician.
        Response: The factors to be considered in determining the amount of 
    civil monetary penalty that are set forth in Sec. 1003.106(a)(4) are 
    adapted from those mandated by section 1128A(d) of the Act. Section 
    1867(d)(1) of the Act requires that the provisions of section 1128A of 
    the Act other than subsection (a) and subsection (b) apply to the 
    imposition of a civil monetary penalty against a participating hospital 
    and physician.
        As thus incorporated by reference, section 1128A(d) of the Act 
    requires that the OIG consider the nature of claims and circumstances 
    under which they were presented, the degree of culpability, history of 
    prior offenses, and financial condition of the person presenting the 
    claims, and such other matters as justice may require.
        We are revising proposed Sec. 1003.106(a)(4) to reflect the essence 
    of these statutory considerations as modified to fit violations of 
    section 1867 of the Act. Section 1003.106(a)(4) also now includes among 
    the factors ``financial condition'' and ``nature and circumstances of 
    the violation.'' These were omitted from the notice of proposed 
    rulemaking but are required under section 1128A(d) of the Act.
        Comment: One commenter stated that, before termination, HCFA should 
    consider all circumstances of the case including such mitigating 
    factors as: the previous sanction record of the hospital; the 
    hospital's willingness and ability to comply with its obligations to 
    emergency room patients; prior history of transfer; and the impact the 
    termination may have on the community.
        Response: Congress has provided that any hospital that has failed 
    to comply with the requirements of section 1867 of the Act is subject 
    to termination of its provider agreement. It did not provide, or 
    suggest in legislative history, that the Secretary should create a 
    system of lesser measures to account for the factors mentioned by the 
    commenter. Rather, it intended the gravity of the sanction to cause 
    hospitals to comply with their obligations. When a hospital does 
    violate its duties under section 1867 of the Act, we must take 
    immediate action to prevent that hospital from jeopardizing the health 
    and safety of the next person who may seek help in an emergency 
    situation. Vigorous enforcement of these provisions is essential to 
    remedy the problem that prompted Congress to legislate against the 
    denial of screening and/or treatment and the inappropriate transfer of 
    individuals with emergency medical conditions. A hospital will not 
    suffer the loss of Medicare funding if it can demonstrate to HCFA's 
    satisfaction that it has taken the steps necessary to ensure that the 
    mandates of the statute are observed by its employees, contractors, and 
    staff. If a hospital demonstrates its unwillingness or inability to 
    meet that commitment within the time provided, it will be terminated. 
    When a hospital has had a history of violations, the situation may make 
    the regional office skeptical about the hospital's willingness and 
    ability to enforce its own policies to guarantee that emergency 
    services are available to all.
        We recognize that the termination of a hospital's provider 
    agreement would have a serious impact on the community. This is the 
    remedy the law provides. We believe that this remedy provides the 
    hospital (and its community) with the incentive to assure compliance.
        Comment: One commenter wanted us to notify a hospital that it is 
    under investigation and will be observed for a specific period of time 
    to see if there is a pattern of inappropriate care and, if one is 
    found, will be given a period of time to correct the problem before 
    termination.
        Response: In view of the nature of the problems that this provision 
    addresses, it is not appropriate to take a general approach that 
    permits a provided to avoid immediate inspection in all cases. The HCFA 
    regional office will determine whether there is an advantage to 
    conducting an unscheduled survey. We note, however, that when continued 
    monitoring is appropriate to assure that corrective action has been 
    taken, we will inform the provider of the period for which monitoring 
    will continue.
        Comment: One commenter believes that all violations, whether or not 
    ``knowing and willful, or negligent'', should be subject to penalty. 
    Another thought termination should only apply to knowing violations, as 
    with civil monetary penalties.
        Response: As we previously indicated, section 4008(b)(3) of OBRA 90 
    deleted section 1867(d)(1) of the Act, which provided for termination 
    or suspension of a hospital's Medicare provider agreement for 
    ``knowingly and willfully, or negligently'' failing to meet these 
    statutory requirements. However, section 1866(a)(1)(I)(i) of the Act 
    was also amended to require hospitals to meet the provisions of section 
    1867 in order to participate in the Medicare program. We have, 
    therefore, revised Sec. 489.24(f) of this regulation to delete the 
    requirement that a hospital must knowingly and willfully, or 
    negligently, fail to meet the regulation's requirements to be subject 
    to termination. It should also be noted that because of the deletion of 
    section 1867(d)(1) of the Act, hospitals are no longer subject to 
    suspension of their provider agreement based upon violation of these 
    provisions. By requiring that all hospitals comply with the provisions 
    of section 1867 of the Act, Congress indicated that section 1867 
    violations by hospitals could result in termination of a hospital's 
    Medicare provider agreement and civil monetary penalties. In addition, 
    as discussed below, civil monetary penalties may now be imposed for a 
    negligent, rather than a knowing, violation.
        Comment: Two commenters suggested that the term ``knowingly'' be 
    defined to include ``should have known'' to prevent physicians from 
    escaping liability because the physician did not know of the law or the 
    physician failed to inquire thoroughly about the patient's condition.
        Response: The language of the statute does not permit us to adopt 
    the commenter's suggestion. ``Knowingly'' is a legal term with a well-
    developed history. The accepted meaning of the term does not include 
    ``should have known.'' Indeed, the latter term denotes a lack of 
    knowledge and is used in those contexts where a person is held liable 
    for not knowing what he or she would have known had he or she exercised 
    due care. A person need not know the terms of the statute in order to 
    commit a knowing violation of the statute. A knowing violation of the 
    statute requires only that the person do a proscribed act, knowing the 
    character of the proscribed act. In this context, for example, a 
    physician would knowingly violate the statute if he or she certified 
    that the transfer of an individual with an emergency medical condition 
    that had not been stabilized was in the best interests of the patient 
    if the physician knew that the patient had an emergency condition that 
    had not been stabilized and that the risks of transfer outweighed the 
    benefits the physician could reasonably expect by the delivery of 
    appropriate care in the receiving hospital. The physician would not 
    need to know that section 1867 of the Act prohibited such transfer.
        Although the term ``knowingly'' does not encompass ``should have 
    known,'' it does embrace the concepts of ``reckless disregard'' and 
    ``deliberate ignorance.'' That is, it includes a form of constructive 
    knowledge in which an individual is deemed to have actual knowledge of 
    the facts and circumstances about which he or she would have had 
    knowledge if the individual had not deliberately or recklessly 
    disregarded facts that were readily available. We are amending 
    Sec. 1003.102(c) to make it clear that the term ``knowingly'' 
    encompasses these two concepts.
        The statute was amended in OBRA 90, however, changing the standard 
    for imposing civil monetary penalties from ``knowingly'' to 
    ``negligently'' for violations on or after May 1, 1991. The term 
    ``negligently'' encompasses the concept of ``should have known.''
        Comment: One commenter suggested that Sec. 1003.114 be amended to 
    read: ``The Inspector General must prove by a preponderance of evidence 
    that the hospital and responsible physician or physicians knowingly 
    failed to provide emergency care as described in Sec. 1003.102(c).''
        Response: Section 1003.114 was substantially rewritten in the OIG 
    final regulations issued on January 29, 1992 (57 FR 3298) to 
    essentially reflect the substance of this comment.
        Comment: One commenter contended that we should not find any 
    hospital or physician in violation of section 1867 of the Act until we 
    have issued final regulations.
        Response: We do not agree with this comment. The detailed language 
    of the statute contains sufficient guidance to provide a legal basis 
    for implementing its provisions before regulations are issued.
        Comment: One commenter contended that the penalties in the proposed 
    rule are too harsh because there are too many emergency department 
    personnel to control all the time.
        Response: The penalties in the proposed rule are statutory 
    requirements and must be enforced by the Secretary.
        Additionally, a hospital has always been responsible for the 
    actions of all personnel it allows to provide services on site.
        Comment: Two commenters believe we should include in the 
    regulations the standards for determining what is a violation that will 
    lead to termination and the procedures to be followed; otherwise, 
    reviewing courts may find termination arbitrary.
        Response: Hospitals in violation of the statute are subject to 
    termination and civil monetary penalties. Thus, any substantiated 
    violation may result in termination. Once these regulations are 
    published, specific guidelines for assessing whether a case represents 
    a violation will be included in the State Operations and Regional 
    Office Medicare Certification Manuals. While the manuals in no way 
    purport to be exhaustive in their description of potential section 1867 
    violations, they do provide a sense as to how HCFA intends to interpret 
    this provision. The manuals are sent to HCFA's regional offices and 
    each State agency. They are also available on a subscription basis from 
    the Department of Commerce's National Technical Information Service, 
    5825 Port Royal Road, Springfield, Virginia, 22161. These manuals are 
    continually updated to reflect new regulations.
        Comment: Twenty commenters stated that we should not be able to 
    terminate a provider without providing due process such as a hearing 
    before an administrative law judge or some type of summary hearing; 
    nine of the commenters asserted that the final decision should be 
    appealable before a Federal court.
        Response: This is an issue that has been litigated extensively in 
    the past. The courts have widely held that due process for providers of 
    health services under the Medicare program does not require a formal 
    hearing before adverse action is taken. Our regulations at 
    Sec. 498.5(b) have long provided for a post-termination hearing before 
    an administrative law judge for providers that have been terminated. 
    Also, in accordance with Sec. 498.5(c), any provider dissatisfied with 
    a hearing decision may request Appeals Council review and has a right 
    to seek judicial review of the Council's decision.
        In addition, of course, providers that have been terminated always 
    have the right to reapply for Medicare certification after correcting 
    the deficiencies that led to the termination.
        Comment: Two commenters believe that we should impose a timeframe 
    on hospitals to obtain reinstatement.
        Response: The statute at section 1866(c)(1) of the Act provides 
    that a hospital that has been terminated from the Medicare program may 
    not file another agreement unless the Secretary finds that the reason 
    for the termination has been removed and that there is reasonable 
    assurance that it will not recur. Thus, terminated hospitals may 
    reapply for Medicare certification whenever they have corrected the 
    deficiencies that caused the termination. We reserve the right to 
    determine an appropriate reasonable assurance period before 
    reinstatement on a case-by-case basis.
        Comment: Four commenters stated that we should clarify how HCFA 
    will monitor and enforce compliance with the regulations. They 
    recommended that the regulations more specifically explain what 
    constitutes a violation of these provisions and how HCFA will 
    investigate violations and make negligence determinations.
        Response: We will publish in our State Operations and Regional 
    Office Manuals our investigation and enforcement procedures.
        Comment: One commenter suggested that HCFA disclose the names of 
    violators to the public and include them in the Medicare Data Base for 
    adverse decisions. Another recommended that we also notify 
    intermediaries and carriers.
        Response: We agree. This information is published and is included 
    in the Medicare Data Base and is passed on to intermediaries and 
    carriers.
        Comment: Two commenters suggested that we negotiate with PROs to 
    provide case-by-case monitoring of patient dumping cases, since State 
    survey agencies are not staffed or organized to do this. Another 
    commenter recommended that we require PROs to report suspected 
    violations and that we consider PRO information before concluding an 
    investigation.
        Response: Section 1867(d)(3) of the Act, as added by section 
    4027(a)(1) of OBRA 90, sets forth the role of PROs in patient dumping 
    cases. Specifically, for sanctions imposed on or after February 1, 
    1991, section 1867(d)(3) of the Act requires the appropriate PRO to 
    review the case prior to the imposition of a civil monetary penalty or 
    physician exclusion sanction, except when a delay would jeopardize the 
    health and safety of individuals or when an individual is denied a 
    screening examination. Given this statutory direction, we do not 
    believe it would be appropriate to place additional requirements on 
    PROs in this regard.
        Comment: One commenter recommended that HCFA require hospitals to 
    maintain a record of the disposition of all individiuals seeking 
    emergency care. If the individual were transferred, such a log would 
    bear the initials of the physician authorizing the transfer and 
    identify the reasons for the transfer, the receiving hospital, and the 
    person accepting transfer for that hospital. Such records would educate 
    hospital personnel about the statutory requirements, deter violations, 
    and provide an audit trail to assist HHS in performing its monitoring 
    and enforcement duties.
        Another commenter suggested that we require each hospital to 
    maintain a record of all patients it transfers and of those it 
    receives, as recommended by Report No. 100-531 of the House Committee 
    on Government Operations on March 25, 1988. Another commenter believes 
    HCFA should periodically review a random sample of transfer files from 
    every transferring and receiving hospital.
        Response: We agree that the hospital must maintain a central log or 
    record of how it handles every individual that comes to its emergency 
    department for HHS and its agents to monitor compliance with the 
    statute. The OIG has reported that a lack of a central record on the 
    disposition of persons seeking emergency services hampers HHS' ability 
    to monitor compliance (Office of Inspector General, ``Patient Dumping 
    After COBRA: Assessing the Incidences and the Perspectives of Health 
    Care Professionals'' (August 1988)). Hence, we are amending the 
    regulations at Sec. 489.20(r)(3) to require a hospital to maintain a 
    central log of all individuals who come to its emergency room seeking 
    assistance and the disposition of such individuals, whether they were 
    or are refused treatment, transferred, admitted and treated, stabilized 
    and transferred, or discharged. Such a record will permit HHS and the 
    State survey and certification agencies to select and gain access to 
    individual medical records for further inquiry. However, we are not 
    prescribing a standard form at this time. Our condition of 
    participation for medical record services, at Sec. 482.24(b), requires 
    hospitals to maintain a medical record for each inpatient and 
    outpatient. Additionally, our enforcement procedures include a review 
    of a simple of patient records. The sampling technique takes into 
    account emergency room triage and unreimbursed care.
        Approximately 80 percent of the 6600 hospitals participating in the 
    Medicare program are accredited by the Joint Commission on 
    Accreditation of Healthcare Organizations (JCAHO). JCAHO-accredited 
    hospitals are required to maintain a control register and initiate a 
    medical record every time an individual visits the emergency service 
    (Standard ES.6). The JCAHO-mandated control register must contain at 
    least the names of all persons (including the names of individuals dead 
    on arrival) seeking care, as well as their age and sex; date, time, and 
    means of arrival; nature of the complaint; disposition; and time of 
    departure. The regulation at Sec. 489.20(r)(3) merely requires the name 
    of the individual and the disposition of his or her case. We believe 
    maintaining a register of individuals seeking care is an industry 
    standard and will not impose an additional burden on the 20 percent of 
    hospitals that are not accredited. We have found a control register or 
    control log to be invaluable in identifying records to be reviewed 
    during our complaint investigations. We have not found any hospital 
    that is not maintaining a log of some sort.
        Comment: One commenter suggested that we clarify that hospitals and 
    physicians investigated under these provisions be held to the standard 
    of care based on accepted medical practice. Alternatively, they should 
    be held to the standard of care utilized by the PROs under section 
    1154(a)(6)(A) of the Act.
        Response: All physicians and hospitals are required to provide 
    adequate medical care. PRO physician reviewers base their assessments 
    on their education, training and experience, and assess the issues 
    noted previously.
        Comment: Two commenters recommended that we include provisions 
    similar to the PRO quality assurance corrective action methods in 
    section 1154 of the Act to allow for education and other actions to 
    bring about positive improvement, instead of resorting to sanctions.
        Response: This regulation emphasizes correction over sanctions. 
    Hospitals that have violated these requirements are permitted the 
    opportunity to correct the deficiencies and avoid termination. To date, 
    96 percent of violating hospitals have been able to avoid termination 
    by correcting the deficiencies that led to the violations. However, the 
    Department's primary responsibility is toward people who need health 
    care, and in cases in which a hospital either cannot or does not 
    correct its deficiencies, we believe it is appropriate to terminate the 
    hospital from the Medicare program quickly. In addition, the law 
    includes authority to exclude physicians and impose civil monetary 
    penalties against hospitals and physicians. This serves as both a 
    remedial function and a deterrent function. This may also motivate 
    corrections and improvements to prevent future violations of the 
    statute.
        Comment: Three commenters indicated that hospitals should be 
    involved in the investigation's fact finding process and should be 
    advised of all evidence before HCFA receives the deficiency report. In 
    addition, they recommended the hospital be permitted to submit 
    documentation regarding the evidence and a response to the information 
    submitted to HCFA, so that HCFA will have all the information before 
    taking action.
        Response: When the onsite investigation of a violation of section 
    1867 of the Act is completed, the hospital's representatives have an 
    opportunity to be informed of the scope of the survey agency's 
    investigation and findings at an exit conference. The survey agency, 
    however, will inform the hospital that, unlike other surveys, an 
    investigation of a violation of section 1867 of the Act usually does 
    not end with its onsite investigation; it may require medical review. 
    The HCFA regional office will make the final determination based on all 
    of the relevant information, including the results of medical review, 
    if needed.
        When the regional office makes a determination of noncompliance, it 
    will notify the hospital via a preliminary determination letter. The 
    date the hospital receives the preliminary determination letter becomes 
    the date for commencement of the termination process, which lasts 
    approximately 23 days in situations where it has been determined that 
    the violation resulted in an immediate and serious threat to patient 
    health and safety, or approximately 90 days where the violation was not 
    considered to pose an immediate and serious threat. If the regional 
    office receives additional information that proves the hospital did not 
    violate section 1867 of the Act, or regional office verification 
    reveals that the hospital has taken remedial action to prevent further 
    violations before the actual date of termination, the termination 
    action will be rescinded. As noted in a previous response to a comment, 
    if there was a violation of section 1867 of the Act and the hospital 
    does not take corrective action, a final termination letter will be 
    sent to the hospital and the public will be notified concurrently 
    through a notice in the newspaper (at least 2 days, but no more than 4 
    days, before the actual termination date in immediate and serious 
    threat situations, or at least 15 days before the actual termination 
    date in situations that do not pose an immediate and serious threat). 
    Therefore, the change in the notice requirement in immediate and 
    serious threat situations offers the provider approximately 19 days to 
    correct the deficiencies before termination becomes effective in 
    immediate and serious threat cases and continues to offer the provider 
    approximately 75 days to correct deficiencies before termination 
    becomes effective for situations that do not pose an immediate and 
    serious threat.
        From the onset, the hospital is aware of the problem, HCFA's 
    intended course of action, and that it must take corrective action or 
    prove that the violation did not exist in order to halt the termination 
    process. During and after this period, the hospital may submit 
    documentation regarding the violation if it chooses; however, the 
    termination process continues until proof is submitted to establish 
    that a violation had not occurred, corrective action is verified, or 
    the termination date is reached. HCFA's primary responsibility is to 
    the people who come to the hospital in emergency situations. Their 
    urgent need for proper medical care is a higher priority than providing 
    for time-consuming historical re-review before action is taken against 
    a hospital with improper practices.
        Comment: One commenter believes the OIG should revise its policy of 
    prohibiting the PRO from consulting with the physician under 
    investigation during the investigatory stage in cases in which the OIG 
    requests an evaluation from the local PRO.
        Response: Section 4027(a) of OBRA 90 added section 1867(d)(3) to 
    the Act to require the OIG, in considering whether to impose a civil 
    monetary penalty or physician exclusion, to obtain and consider PRO 
    review except when a delay would jeopardize the health or safety of 
    individuals.
        The PRO, in turn, is required to assess whether the individual 
    involved had an emergency medical condition that had not been 
    stabilized and to provide the physician and hospital involved with a 
    reasonable opportunity for discussion and to submit additional 
    information.
        Comment: One commenter disagreed with HCFA's intention to rely on 
    State survey agencies to investigate initial complaints of violation 
    because in many States these agencies have an inherent conflict of 
    interest. The commenter recommended that, to guarantee that there are 
    no conflicts of interest, HCFA should at least apply certain minimum 
    performance standards and investigatory guidelines in determining in 
    which States the State survey agency can be entrusted with the role of 
    investigating complaints.
        Response: As provided for by section 1864(c) of the Act, HCFA 
    contracts with the State survey agency to conduct surveys to evaluate 
    compliance with Federal health and safety requirements. We provide 
    training, survey report forms and interpretive guidelines and perform 
    Federal surveys and oversight to monitor the States' performances. 
    Consequently, we are confident of the States' abilities to conduct 
    compliant investigations.
        Comment: One commenter believes that complainants should be asked 
    but not required to give their names or other identifying information, 
    as many anonymous complaints have proven reliable in other health care 
    enforcement contexts.
        These complaints are often made by hospital employees, who are in a 
    position to know what constitutes an actual violation and who are 
    fearful of losing their jobs if identified.
        Response: We agree that requesting, rather than requiring, a 
    complainant's name would protect an employee with anonymity. This will 
    be reflected in HCFA's revised Medicare Survey and Certification, State 
    Operations and Regional Office Manuals instructions. We also note, as 
    previously indicated, under section 4027(k)(3) of OBRA 90 hospitals are 
    not allowed to penalize or take action against any hospital employee 
    because the employee reported a violation of these provisions.
    State Agency Involvement
        Comment: Two commenters believe that our regulations dealing with 
    documentation of findings at Sec. 405.1903(d) (recodified as 
    Sec. 488.18(d)) should be revised to require State survey agencies to 
    forward all complaints to HCFA, not just those they deem ``credible'', 
    in order to maintain the integrity of the enforcement process.
        Response: We agree that HCFA should decide whether a complaint 
    alleges a violation of these requirements and warrants an 
    investigation. We are revising recodified Sec. 488.18(d), accordingly.
    Physician Role
        Comment: Three commenters contended that the regulations should 
    differentiate more between the roles and responsibilities of physicians 
    and hospitals in determining whether a hospital has violated section 
    1867 of the Act, as hospitals do not have the legal authority to admit, 
    transfer or discharge patients.
        Response: The statute imposes duties on a hospital, many of which 
    can only be effectively carried out by physicians in some way 
    affiliated with the hospital. Neither the statute nor the regulations 
    attempt to define the means by which the hospital meets its statutory 
    obligations to provide emergency screening examination, treatment or 
    transfer.
        Comment: Three commenters raised a question concerning the 
    hospital's responsibility in a case in which a physician who is not 
    responsible for providing emergency care, but whose specialty is 
    required to perform stabilizing care, refuses to treat or examine a 
    patient.
        Response: Although the term ``responsible physician'' is no longer 
    used in the statute, the Department has maintained the term in these 
    regulations, defining it to be consistent with the present statute. 
    Hence, the definition of a ``responsible physician'' as drafted in 
    these regulations includes any physician to whom the hospital has 
    delegated responsibility to examine, treat, or transfer an individual 
    that comes to the hospital emergency department seeking help. A 
    hospital may use physicians on its medical staff to carry out its 
    responsibilities under the statute. As indicated in the OBRA 89 
    amendments to section 1867, these physicians, including those who 
    provide emergency services on-call as a condition of enjoying staff 
    privileges, may be held liable for violating the statute and 
    regulations.
        Comment: One commenter recommended that ``responsible physician'' 
    be defined to prevent a physician from being held liable for not 
    providing treatment that is beyond his clinical area of competence or 
    hospital privileges or for treatment decisions that are made in the 
    physician's absence when the physician is available only by telephone.
        Response: We do not believe that the comment requires a change in 
    the definition. The commenter is concerned that a physician not be held 
    responsible for aspects of an individual's care that are beyond his 
    competence or hospital privileges. Consistent with the statute, the 
    regulations use the term ``responsible physician'' to denote a 
    physician with the responsibility to examine, treat, or transfer a 
    patient. A hospital cannot require a physician to perform duties that 
    are either beyond the physician's competence or the scope of the 
    physician's hospital privileges.
        On the other hand, where a responsible physician makes treatment or 
    transfer decisions by telephone, the physician remains liable for such 
    decisions.
        Comment: Several commenters believe that the definition of 
    ``responsible physician'' should include any physician on the hospital 
    medical staff, including on-call physicians.
        Response: We have amended the definition of ``responsible 
    physician'' to comport with the OBRA 89 amendments to section 1867 of 
    the Act. The definition encompasses any physician, including those 
    physicians on-call, to whom the hospital has delegated responsibility 
    to examine, treat, or transfer an individual that comes to the hospital 
    emergency department seeking help. A hospital may use physicians on its 
    medical staff to carry out its responsibilities under the statute. OBRA 
    89 amended section 1866(a)(1)(I) of the Act to require the hospital, as 
    a condition of participation, to ``maintain a list of physicians who 
    are on-call for duty after the initial examination to provide treatment 
    necessary to stabilize an individual with an emergency medical 
    condition.''
        Comment: One commenter asked about the hospital's liability when 
    the attending physician determines that the patient requires the skills 
    of a specialist who has staff privileges, but the specialist has never 
    agreed to provide emergency services.
        Response: As previously indicated, pursuant to OBRA 89, the 
    hospital has a duty to ensure that, within the capabilities of the 
    hospital's staff and facility, the medical needs of an individual who 
    comes to an emergency room can be met. The hospital's capabilities 
    include the skills of a specialist who has staff privileges to the 
    extent that the hospital can require the specialist to furnish these 
    services. However, it is up to the hospital to determine how it will 
    comply with its statutory obligations.
        Comment: One commenter recommended that the regulations exempt from 
    liability a physician who attempts to admit a patient if the hospital 
    refuses admission.
        Response: To be a responsible physician under the terms of the 
    statute and regulations, a physician must be responsible for examining, 
    treating, or transferring an individual whom the statute protects. If 
    an emergency room physician, for example, is under contract with the 
    hospital to provide emergency care and treatment, but does not have 
    admitting privileges, that physician is still under an obligation to 
    provide an appropriate medical screening examination and either 
    stabilizing treatment within the capabilities of the staff and 
    facilities of the hospital or an appropriate transfer under the 
    statute. Section 1867(d)(1)(C) of the Act specifically states that if a 
    physician determines that an ``individual requires the services of a 
    physician listed by the hospital on its list of on-call physicians . . 
    . and notifies the on-call physician and the on-call physician fails or 
    refuses to appear within a reasonable period of time, and the physician 
    orders the transfer of the individual because,'' without the on-call 
    physician's services, the benefits of transfer outweigh the risks of 
    transfer, the transferring physician will not be subject to penalties 
    under section 1867 of the Act. However, this does not absolve the 
    hospital and the on-call physician from liability under the statute.
        Comment: One commenter believes that these regulations may cause 
    emergency room physicians to hesitate to transfer patients when 
    appropriate because their decisions might be reviewed through hindsight 
    and without consideration of the pressure of the specific 
    circumstances.
        Response: We do not agree with the commenter's contention. In 
    reviewing allegations of patient dumping, we will look at all the 
    information available to the treating or transferring physician at the 
    time the decision is made. We believe that the physician's concern 
    should be for the patient rather than for possible consequences of this 
    requirement. To further strengthen the protection of emergency room 
    physicians with regard to their transfer decisions, section 6211(f) of 
    OBRA 89 added paragraph (i) to section 1867 of the Act to prevent 
    hospitals from penalizing physicians who refuse to authorize the 
    transfer of an individual with an unstabilized emergency medical 
    condition. In addition, section 4027(k)(3) of OBRA 90 amended section 
    1867(i) of the Act to provide similar protection to qualified medical 
    emergency room staff with regard to their transfer decisions when a 
    physician is not available in the emergency room. We are amending 
    Sec. 489.24(d)(3) to include these new provisions so that it conforms 
    to the statute as amended.
    Miscellaneous
        Comment: One commenter suggested that the regulations include the 
    requirement that the patient or a third party payer must pay for the 
    patient's medical screening or examination.
        Response: A patient's obligations to pay for services provided by a 
    hospital is beyond the scope of these regulations. However, if an 
    individual is unable to pay for services, the hospital, nonetheless, 
    remains subject to the requirements of the statute and regulations with 
    respect to that individual. Section 1867(h) of the Act, as added by 
    section 6211(f) of OBRA 89, states expressly that the ``hospital may 
    not delay provision of an appropriate medical screening examination . . 
    . or further medical examination and treatment . . . to inquire about 
    the individual's method of payment or insurance status.''
        Comment: One commenter stated that many managed health care plans 
    require hospital emergency departments to call the plan for permission 
    to examine and treat the plan's patients; the commenter believed that 
    this violates the law. He also stated that a plan can retroactively 
    determine that an emergency condition did not exist.
        Response: Managed health care plans cannot deny a hospital 
    permission to examine or treat their enrollees. They may only state 
    what they will and will not pay for. However, regardless of whether a 
    hospital is to be reimbursed for the treatment, it is obligated to 
    provide the services specified in the statute.
        Comment: One commenter contended that hospitals should not be 
    allowed to pass along the costs of any civil monetary penalties to the 
    Medicare or Medicaid programs.
        Response: We agree; these penalties are not reimbursed by the 
    Medicare or Medicaid programs.
    
    V. OBRA 90: Peer Review Organization Review
    
        As stated above in section II.D. of this preamble, Responsibilities 
    of Medicare Participating Hospitals in Emergency Cases, and in several 
    responses to comments, before imposing civil monetary penalties and 
    exclusions, section 1867(d)(3) of the Act requires that we request the 
    appropriate PRO to assess whether the individual involved had an 
    emergency medical condition that had not been stabilized and report on 
    its findings before the OIG may impose a civil monetary penalty or 
    exclusion. [Note: PRO review is not required in cases where a delay in 
    effecting a sanction would jeopardize the health or safety of 
    individuals or in situations where medical review is inappropriate, for 
    example, in cases where an individual was denied a medical screening 
    examination.] The Secretary must provide the PRO with at least 60 days 
    for the review. The PRO is required to provide reasonable notice of the 
    review to the hospital and physician involved. The PRO is also required 
    to provide them with a reasonable opportunity for discussion and an 
    opportunity to submit additional information. This provision is 
    effective for sanctions imposed on or after February 1, 1991.
        During the possible termination phase of a case's development, the 
    HCFA regional office has the responsibility and authority to make a 
    determination of compliance or noncompliance. Termination procedures 
    provide for an opportunity for the provider to comment. During this 
    phase, the HCFA regional office is not required to instruct the PRO to 
    offer the affected hospital an opportunity for discussion and 
    submission of additional information. Subsequent to this phase, the OIG 
    has the responsibility and authority to direct that the PRO conduct an 
    assessment. In conducting such as assessment, the PRO is required to 
    offer the affected physician and/or hospital an opportunity for 
    discussion and submission of additional information before the PRO 
    issues its report.
        We are adding a new paragraph (g) to proposed Sec. 489.24 to 
    implement the statutory provision that PROs have at least 60 days to 
    make their assessments and to specify that PROs must provide affected 
    physicians and hospitals reasonable notice of review and opportunity 
    for discussion and submission of additional information.
        In addition, we are adding a new Sec. 489.24(h) to clarify that, 
    upon request, HCFA may release a PRO assessment to the physician or 
    hospital (or both where applicable), or the affected individual, or his 
    or her representative. However, we specify that the PRO physician's 
    identity is confidential unless he or she consents to release his or 
    her identity, in accordance with the PRO disclosure regulations set 
    forth at Secs. 476.132 and 476.133. If the case goes to litigation, the 
    PRO is required to provide expert testimony and it is preferable, but 
    not required, that the testifying physician be the same physician who 
    reviewed and reported on the case.
        As stated earlier, the statutory change requiring PRO review 
    applies only in situations involving civil monetary penalties and 
    exclusions. Termination proceedings pursuant to section 1866 of the Act 
    as a result of violations of the anti-dumping provisions of section 
    1866 and section 1867 do not require PRO review. We note that a 
    facility could be the subject of a termination proceeding and also be 
    assessed civil monetary penalties.
    
    VI. Summary of Revisions
    
        In this interim final rule with comment period, we are adopting as 
    final the provisions of the June 16, 1988 proposed rule, as amended by 
    the revisions discussed below and clarifications discussed elsewhere in 
    this preamble. (To accommodate changes to the Code of Federal 
    Regulations since the publication of the June 16, 1988 proposed rule, 
    proposed paragraphs (k) through (q) of Sec. 489.20 have been 
    redesignated as paragraphs (l) through (r).) Unless otherwise noted, 
    revisions are based on our evaluation of public comments.
        1. CHAMPUS, CHAMPVA and VA: We made no revisions.
        2. Hospital discharge rights notice.
        We have revised this section to eliminate the requirement that the 
    beneficiary or his or her representative acknowledge receipt of the 
    ``Message'' by signing the acknowledgement statement on the 
    ``Message.'' We have also eliminated the requirement that an 
    acknowledgement of the ``Message'' be retained by the hospital. 
    Instead, we will rely on hospitals to determine how they can best 
    comply with the requirement that each beneficiary be provided with a 
    discharge rights notice.
        3. Hospital responsibility for emergency care.
        We are revising the proposed regulations as discussed below.
         Section 489.20(m): We have clarified Sec. 489.20(m) to 
    eliminate any implication that a hospital may improperly transfer a 
    patient as long as it is done with prior arrangement. In addition, we 
    are requiring that when a hospital has reason to believe that an 
    individual was transferred in violation of the requirements of 
    Sec. 489.24, it will report the violation to either HCFA or the State 
    survey agency, rather than to both, as required by the proposed 
    regulation.
         Section 489.20(q): We are adding provisions based on 
    section 6018(a)(2) of OBRA 89, requiring hospitals to post 
    conspicuously in their emergency departments signs specifying rights of 
    individuals under section 1867 of the Act with respect to examination 
    and treatment and to post conspicuously information indicating whether 
    or not the hospital participates in the Medicaid program under a State 
    plan approved under title XIX. Some public commenters also wrote in 
    support of the posting of signs.
         Section 489.20(r)(1): Pursuant to section 6018(a)(1) of 
    OBRA 89 and in response to public comment, we are adding the 
    requirement that both transferring and receiving hospitals maintain 
    medical and other records related to individuals transferred for a 
    period of 5 years.
         Section 489.20(r)(2): Also pursuant to section 6018(a)(1) 
    of OBRA 89 and public comment, we are adding the requirement that a 
    hospital maintain a list of physicians who are on call for duty after 
    the initial examination to provide treatment.
         Section 489.20(r)(3): We are requiring each hospital (both 
    transferring and receiving) to keep a log of each individual who came 
    to the emergency department seeking assistance and whether he or she 
    refused treatment or was refused treatment, transferred, admitted and 
    treated, stabilized and transferred, or discharged.
         Section 489.24(b): We are expanding the definition of 
    ``emergency medical condition'' to include psychiatric disturbances, 
    symptoms of substance abuse, and situations with respect to pregnant 
    women having contractions. We add definitions of ``capacity'', ``comes 
    to the emergency department'', ``hospital'', ``hospital with an 
    emergency department'', ``labor'', and ``participating hospital.'' We 
    clarify other definitions to make them consistent with other versions 
    of the text. We have deleted the term ``active labor'' in accordance 
    with section 6211(h)(1)(B) of OBRA 89.
         Section 489.24(c) (2) and (4) and (d) (1) and (2): We are 
    adding provisions to require a written informed refusal from the 
    patient or individual acting on his or her behalf when the patient 
    refuses treatment or transfer. We specify that the medical record must 
    contain a description of the examination and treatment, or transfer, or 
    refusal. The refusal must indicate that the patient (or person acting 
    on his or her behalf) is aware of the risks and benefits of the 
    transfer, or the examination or treatment.
         Section 489.24(c)(3): We are adding the requirement that a 
    hospital may not delay providing an appropriate medical screening 
    examination in order to inquire about payment method or insurance 
    status. This is the result of public comment and section 6211(h) of 
    OBRA 89.
         Section 489.24(d)(1)(ii)(A): Based on section 6211(c)(1) 
    of OBRA 89 and public comment, we are adding a requirement that an 
    individual (or legally responsible person acting on the individual's 
    behalf) who wants to be transferred must indicate in writing the reason 
    for the request for transfer and that he or she is aware of its risks 
    and benefits.
         Section 489.24(d)(3): Based on section 6211(i) of OBRA 89 
    and section 4027(k)(3) of OBRA 90, we are prohibiting a hospital from 
    penalizing or taking adverse action against a physician or a qualified 
    medical person who refuses to authorize the transfer of an individual 
    with an emergency condition that has not been stabilized or against any 
    hospital employee because the employee reports a violation of this 
    regulation.
         Section 489.24(e): Based on section 6211(f) of OBRA 89 and 
    public comment, we are requiring that a hospital with specialized 
    capabilities or facilities accept transfer of any individual requiring 
    those specialized capabilities or facilities if it has the capacity to 
    treat the individual.
         Section 489.24(f): Because of section 4008(b)(3)(A) of 
    OBRA 90, the standard for terminating a hospital has changed. HCFA is 
    no longer required to prove that the hospital knowingly and willfully, 
    or negligently, failed to meet the requirements of this regulation. We 
    may now terminate such hospitals for failing to meet these requirements 
    under section 1866 of the Act based upon section 4008(b)(3)(B) of OBRA 
    90, which requires hospitals to meet the requirements of section 1867 
    of the Act in order to participate in the Medicare program.
         Section 489.24(g): Based on section 4027(a)(1) of OBRA 90, 
    we are requiring PRO review to assess whether the individual involved 
    had an emergency medical condition that had not been stabilized, in 
    addition to other medical issues, before imposing a civil monetary 
    penalty or exclusion, unless obtaining such review would cause delay 
    that would jeopardize the health or safety of individuals or if there 
    is no medical issue to review (that is, no screening examination was 
    conducted). In cases that do not present jeopardy, the PRO review and 
    report to HCFA must be completed in 60 calendar days.
         Section 489.24(h): We are clarifying in new Sec. 489.24(h) 
    that, upon request, HCFA may release a PRO assessment to the physician 
    or hospital, or the affected individual or his or her representative.
         Section 489.53(a): We are revising the proposed rule to 
    require a receiving hospital to report incidents it has reason to 
    believe may be violations.
         Section 489.53(b): We are adding to the reasons for 
    termination--(a) a refusal of a hospital with specialized capabilities 
    or facilities that has the capacity to accept an appropriate transfer; 
    (b) failure to maintain an on-call duty roster, medical records for 5 
    years, and a log of individuals seeking emergency assistance; and (c) 
    failure to post notices as required concerning participation in 
    Medicaid and the rights of individuals under 42 CFR part 489, subpart 
    B.
         Section 489.53(c)(2)(ii): We are specifying that a 
    hospital found in violation of Secs. 489.24(a) through (h) will receive 
    a final notice of termination and the public will be concurrently 
    notified at least 2 but no more than 4 days before the effective date 
    of the termination. This allows a hospital approximately 19 to 21 days 
    to correct or refute alleged deficiencies. We also clarify that we will 
    not terminate if the hospital has corrected or refuted the deficiencies 
    that gave rise to the termination.
         We are adding ``or rural primary care hospital'' wherever 
    ``hospital'' appears in Sec. 489.24, as required by section 6003(g) of 
    OBRA 89.
         We are also removing all references to suspension of the 
    provider from the regulations at Secs. 489.24 and 489.53, based on the 
    deletion of the suspension authority by section 4008(b)(3) of OBRA 90.
         We are making none of the proposed revisions to part 1001, 
    which all concerned suspension of providers.
         Section 1003.100: We are revising the proposed section to 
    conform with several rulemaking documents that have been published 
    since our proposed rule. The requirements contained in proposed 
    Sec. 1003.100(b)(1)(ii) are now set forth in Sec. 1003.100(b)(1)(vi).
         Section 1003.101: We are adding or revising in this 
    section the definitions for the terms ``participating hospital'' (to 
    comport with the statute), ``respondent'', and ``responsible 
    physician''.
         Section 1003.102: This section also has been revised by 
    several rulemaking documents since the publication of our June 16, 
    1988, proposed rule. In this interim final rule, we are clarifying in 
    paragraph (c)(2) that the term ``knowingly'' encompasses reckless 
    disregard and deliberate ignorance of a material fact. We are also 
    revising this section to comport with the OBRA 89 amendments that allow 
    the Inspector General to impose civil monetary penalties when a 
    physician signs a certification when he or she knew or should have 
    known that the benefits did not outweigh the risks of transfer, or when 
    the physician misrepresents an individual's condition or other 
    information. We are also revising proposed Sec. 1003.102(d) to 
    eliminate the reference to a ``knowing'' standard (that is, a physician 
    knowingly failed to provide care). This results in a clearer approach 
    that sets forth our basis for imposing civil monetary penalties for 
    violations of section 1867 of the Act and is consistent with the 
    statutory amendments and with other revisions to the regulations.
         Section 1003.103: We are revising this section in 
    accordance with section 1867(d) of the Act, as amended by section 4008 
    of OBRA 90, to clarify that the OIG may impose a penalty of not more 
    than $50,000 against a participating hospital and a penalty of not more 
    than $50,000 against each responsible physician (and not more than 
    $25,000 against a participating hospital and each responsible physician 
    for violations on or after August 1, 1986, but before December 22, 
    1987) for violations determined under Sec. 1003.102(d). For penalties 
    imposed on or after May 1, 1991, if the hospital has fewer than 100 
    State-licensed, Medicare-certified beds, the maximum penalty will be 
    $25,000.
         Section 1003.105: We are revising this section to comport 
    with the OBRA 90 amendments to section 1867 of the Act by specifying in 
    Sec. 1003.105(a)(1) that a physician who grossly and flagrantly or 
    repeatedly violates the statute or Sec. 489.24 may be excluded from 
    Medicare and any State health care program. We are also revising 
    Sec. 1003.105(b) to clarify that, for determinations under 
    Secs. 1003.102 (b)(2) and (b)(3), and for violations under 
    Sec. 1003.102(c)(1)(ii) occurring on or after December 22, 1987 and 
    before July 1, 1990, a physician may not be excluded if the OIG 
    determines he or she is a sole community physician or the sole source 
    of specialized services in that community. We are moving references to 
    limitations in time periods of exclusion to Sec. 1003.107.
         Section 1003.105: Effective December 22, 1987, the statute 
    was amended to allow the Secretary, pursuant to section 1842(j)(2) of 
    the Act, to exclude a physician who knowingly violated section 1867 of 
    the Act. In OBRA 89 Congress amended section 1867, allowing the 
    Secretary, pursuant to section 1128A (instead of section 1842(j)(2)), 
    to exclude a physician who knowingly and willfully or negligently 
    violated the statute. The statute was then amended in OBRA 90, changing 
    the standard for exclusion from ``knowing and willful or negligent'' to 
    ``gross and flagrant or repeated'', effective May 1, 1991. We are 
    implementing this provision in Sec. 1003.105(a)(1)(ii)(C). In addition, 
    in accordance with section 1842(j)(3) of the Act, the physician may not 
    be excluded if the physician is the sole community physician or sole 
    source of essential specialized services in a community. We are 
    revising Sec. 1003.105(b) to include these exceptions.
         Section 1003.106: As indicated in a response to one of the 
    comments, in accordance with the requirements of section 1128A(d) of 
    the Act, the final regulation includes two additional factors for 
    consideration in determining the amount of the penalty and the length 
    of the exclusion under part 1003: (1) ``The financial condition of the 
    hospital and each responsible physician who have violated any 
    requirement of section 1867 of the Act,'' and (2) ``The nature and 
    circumstances of the violation.'' We are adding Sec. 1003.106(a)(4) to 
    reflect these provisions.
         Section 1003.107: The regulations now reflect the 
    requirement of section 1842(j)(3) of the Act that if an exclusion is 
    based upon section 1842(j)(2) of the Act, then the access of 
    beneficiaries to physician's services must be considered.
         Section 1003.108: We are revising this section to include 
    the terms ``assessment'' and ``exclusion.''
        4. Technical revisions.
        We have revised the regulation to reflect the statutory amendments 
    relating to the term ``active labor.'' Section 6211(h)(1)(B) of OBRA 89 
    removed the term from the statutory definitions section (section 
    1867(e) of the Act) and the concept it applied to was incorporated into 
    the definition of emergency medical condition. Hence, in many areas of 
    the regulations, only the term ``emergency medical condition'' is 
    included. However, the statute still uses the term ``labor'' in certain 
    circumstances, and the regulations reflect this where appropriate.
        Under sections 6211(g) (1) and (2) of OBRA 89, the words 
    ``patient,'' ``patients'' and ``patient's'' are replaced by the words 
    ``individual,'' ``individuals'' and ``individual's'', respectively, 
    each place they appear in Secs. 489.24 and 489.53 in reference to 
    hospitals.
        In addition, we have redesignated proposed Sec. 405.1903 in this 
    interim final rule as Sec. 488.18(d).
    
    VII. Impact Statement
    
        Unless the Secretary certifies that an interim final rule will not 
    have a significant economic impact on a substantial number of small 
    entities, we generally prepare a regulatory flexibility analysis that 
    is consistent with the Regulatory Flexibility Act (RFA) (5 U.S.C. 601 
    through 612). For purposes of the RFA, we consider all hospitals to be 
    small entities. Individuals and states are not included in the 
    definition of a small entity.
        In addition, section 1102(b) of the Act requires the Secretary to 
    prepare a regulatory impact analysis for any final rule that may have a 
    significant impact on the operations of a substantial number of small 
    rural hospitals. Such an analysis must conform to the provisions of 
    section 604 of the RFA. For purposes of section 1102(b) of the Act, we 
    define a small rural hospital as a hospital that has fewer than 100 
    beds and is located outside a Metropolitan Statistical Area.
        The provisions of this rule merely conform the regulations to the 
    legislative provisions of sections 9121 and 9122 of COBRA (as amended 
    by section 4009 of OBRA 87), section 233 of the Veteran's Benefit 
    Improvement and Health Care Authorization Act of 1986, sections 9305 
    (b)(1) and 9307 of OBRA 86, section 4009 of OBRA 87, sections 
    6003(g)(3)(d)(XIV), 6018 and 6211 of OBRA 89 and sections 4008(b), 
    4027(a) and 4027(k)(3) of OBRA 90.
        The provisions of this rule will require Medicare participating 
    hospitals to provide inpatient services to individuals with insurance 
    coverage under CHAMPUS, CHAMPVA, and VA programs, provide each Medicare 
    beneficiary a statement of his or her rights concerning discharge from 
    the hospital and provide an appropriate medical screening examination 
    to anyone who requests examination or treatment, and stabilizing 
    treatment in the emergency room to any individual with an emergency 
    medical condition.
        As required by the statute these provisions are in effect and are 
    being enforced. Although hospitals may incur incremental costs to 
    ensure compliance with these provisions, we believe the costs are 
    minimal and the benefits to individuals far outweigh those costs. These 
    provisions will allow military personnel and their families to receive 
    inpatient services in hospitals that may be closer to their homes as 
    opposed to receiving services in military hospitals that may be some 
    distance away. Another benefit will be that all individuals will 
    receive medical screening and, if an emergency medical condition 
    exists, will also receive stabilizing treatment and protections against 
    inappropriate transfers regardless of the individual's eligibility for 
    Medicare. We believe that these provisions will improve access to care 
    and reduce patient complaints. The potential use of sanctions provides 
    the incentive for hospitals to ensure continued compliance with these 
    provisions.
        We included a voluntary impact analysis in section VII of the 
    preamble in the June 16, 1988 proposed rule (53 FR 22513). We received 
    no comments on that analysis, and we believe that none of the changes 
    incorporated into this interim final rule have any significant impact. 
    Therefore, we are not preparing a similar analysis.
        For the reasons discussed above, we have determined, and the 
    Secretary certifies, that these final regulations will not have 
    significant economic impact on a substantial number of small entities 
    and will not have a significant impact on the operations of a 
    substantial number of small rural hospitals. Therefore, we have not 
    prepared a regulatory flexibility analysis or an analysis of effects on 
    small rural hospitals.
        In accordance with the provisions of Executive Order 12866, this 
    regulation was reviewed by the Office of Management and Budget.
    
    VIII. Paperwork Reduction Act
    
        Sections 488.18(d), 489.20 (m) and (r), and 489.24 (c), (d) and (g) 
    of this interim final rule contain information collection requirements 
    that are subject to the Office of Management and Budget review under 
    the Paperwork Reduction Act of 1980. The information collections in 
    Secs. 488.18, 489.20(m), and 489.24 require the State agencies to 
    notify HCFA when hospitals are not in compliance with provisions 
    contained in the Medicare provider agreement. Section 489.20(m) also 
    requires that a hospital report to HCFA or a Medicare state survey 
    agency when the hospital believes it has received an individual who has 
    been transferred in an unstable emergency medical condition from 
    another hospital in violation of the requirements of Sec. 489.24(d). 
    Section 489.20(r) now requires both transferring and receiving 
    hospitals to develop and maintain lists of on-call physicians and 
    central logs containing information about what services the individual 
    did or did not receive and applicable patient records on admissions, 
    discharges, and transfers.
        In addition, under Sec. 489.24 (c) and (d), transferring hospitals 
    must send receiving hospitals an individual's medical records (or 
    copies) available at the time of the transfer, and the individual's 
    other medical records must be sent as soon as practicable after the 
    transfer. The provisions also require hospitals to record certain 
    information on individuals' medical records, require individuals to 
    sign consent forms pertaining to examinations, treatments and 
    transfers, and require physicians and other qualified medical 
    personnel, when a physician is not present in the emergency department 
    but in consultation with the physician, to sign transfer certifications 
    containing specific information. Section 489.24(g) also requires PROs 
    to prepare reports regarding individuals' medical conditions when 
    requested by HCFA.
        Section 489.27 of the proposed rule required that hospitals that 
    participate in the Medicare program obtain from the beneficiary or his 
    or her representative a signed acknowledgement of receipt of a notice 
    of discharge rights. We also required these hospitals to retain both a 
    copy of the inpatient notice of discharge rights (``Message'') and of 
    the signed acknowledgement for 1 year. As discussed in section IV.B. of 
    this preamble, this interim final rule eliminates the requirement for 
    an acknowledgement statement. Thus, the accompanying recordkeeping 
    burden also is eliminated.
        The annual reporting and recordkeeping burden imposed by these 
    information collection requirements is estimated, based on past 
    experience, to be as follows:
    
    Sec. 488.18(d)--101.5 hours for Medicare State survey agencies
    Sec. 489.20(m)--25.25 hours for all hospitals and 50.5 hours for 
    Medicare State survey agencies
    Sec. 489.20(r)(2)--7,000 hours for all hospitals
    Sec. 489.20(r)(3)--7,665,400 hours for all hospitals
    Sec. 489.24(c)(2) and Sec. 489.24(c)(4)--373,900 hours for all 
    hospitals and 46,700 hours for the public for each subsection
    Sec. 489.24(d)(1)(ii)(A)--46,700 hours for the public
    Sec. 489.24(d)(1)(ii)(B) and Sec. 489.24(d)(1)(ii)(C)--373,900 hours 
    for all hospitals for each subsection
    Sec. 489.24(g)--336 hours for all PROs
    
        The new information collection and recordkeeping requirements 
    associated with Secs. 488.18, 489.20, and 489.24 have been sent to OMB 
    for approval in accordance with the Paperwork Reduction Act and will 
    not be effective until OMB approval is received. A notice will be 
    published in the Federal Register when approval is obtained. 
    Organizations and individuals desiring to submit comments on the burden 
    estimates, the usefulness of central logs for enforcement purposes, the 
    possibility of any unintended effects in connection with the use of 
    such logs, or other aspects of the information collection and 
    recordkeeping requirements in Secs. 488.18, 489.20, and 489.24 should 
    direct them to the OMB official whose name appears in the ADDRESSES 
    section of this preamble.
    
    IX. Waiver of Proposed Rulemaking
    
        The Administrative Procedure Act (5 U.S.C. 553) requires us to 
    publish general notice of proposed rulemaking in the Federal Register 
    and afford prior public comment on proposed rules. Such notice includes 
    a statement of the time, place and nature of the rulemaking proceeding, 
    reference to the legal authority under which the rule is proposed, and 
    the terms or substance of the proposed rule or a description of the 
    subjects and issues involved. However, this requirement does not apply 
    when an agency finds good cause that prior notice and comment are 
    impracticable, unnecessary, or contrary to the public interest, and 
    incorporates a statement of the finding and its reasons in the rules 
    instead.
        This interim final rule with comment period includes a number of 
    revisions to our regulations that implement revisions to the Act under 
    OBRA 89 and OBRA 90 and for which we did not propose rulemaking. These 
    particular regulation revisions implement the statute without 
    interpretation; the statutory changes are self-implementing. Most of 
    the revisions are technical; some substantive ones (such as the notice 
    hospitals are required to post concerning Medicaid) have already been 
    implemented; others are changes that would respond to public comments 
    we have already received. Affording a proposed rulemaking process under 
    these circumstances is not in the public interest as it would delay the 
    promulgation of regulations that correspond to the current statute; 
    because the statutory revisions are self-implementing, we do not 
    anticipate that public comment would substantively modify regulations. 
    Therefore, we find good cause to waive proposed rulemaking for those 
    regulatory provisions necessary to implement OBRA 89 and OBRA 90. 
    However, we are providing a 60-day period for public comment, as 
    indicated at the beginning of this rule, on changes to the regulations 
    resulting from the provisions of OBRA 89 and OBRA 90. After considering 
    comments that are received timely, we will respond to the comments, 
    include any changes in the rule that might be necessitated in light of 
    those comments, and publish a final rule in the Federal Register.
    
    X. Response to Comments
    
        Because of the large number of items of correspondence we receive 
    on a rulemaking document, we are not able to acknowledge or respond to 
    them individually. However, we will consider all comments that we 
    receive by the date and time specified in the ``Dates'' section of this 
    preamble, and, we will respond to the comments in the preamble of the 
    final rule.
    
    List of Subjects
    
    42 CFR Part 488
    
        Health facilities, Medicare, Reporting and recordkeeping 
    requirements.
    
    42 CFR Part 489
    
        Health facilities, Medicare.
    
    42 CFR Part 1003
    
        Administrative practice and procedure, Fraud, Grant programs--
    health, Health facilities, Health professions, Maternal and child 
    health, Medicaid, Medicare, Penalties.
    
        Title 42 of the Code of Federal Regulations is amended as follows:
        A. Part 488, subpart A, is amended as follows:
    
    PART 488--SURVEY AND CERTIFICATION PROCEDURES
    
        1. The authority citation for part 488 continues to read as 
    follows:
    
        Authority: Secs. 1102, 1814, 1861, 1865, 1866, 1871, 1880, 1881, 
    1883, and 1913 of the Social Security Act (42 U.S.C. 1302, 1395f, 
    1395x, 1395bb, 1395cc, 1395hh, 1395qq, 1395rr, 1395tt, and 1396l).
    
    Subpart A--General Provisions
    
        2. Section 488.18 is amended by adding a new paragraph (d) to read 
    as follows:
    
    
    Sec. 488.18  Documentation of findings.
    
    * * * * *
        (d) If the State agency receives information to the effect that a 
    hospital or a rural primary care hospital (as defined in section 
    1861(mm)(1) of the Act) has violated Sec. 489.24 of this chapter, the 
    State agency is to report the information to HCFA promptly.
        B. Part 489 is amended as follows:
    
    PART 489--PROVIDER AGREEMENTS UNDER MEDICARE
    
        1. The authority citation for part 489 is revised to read as 
    follows:
    
        Authority: Secs. 1102, 1861, 1864, 1866, 1867, and 1871 of the 
    Social Security Act (42 U.S.C. 1302, 1395x, 1395aa, 1395cc, 1395dd, 
    and 1395hh), and sec. 602(k) of Pub. L. 98-21 (42 U.S.C. 1395ww 
    note).
    
    Subpart A--General Provisions
    
        2. In Sec. 489.20, the introductory text is republished, and 
    paragraphs (l) through (r) are added to read as follows:
    
    
    Sec. 489.20  Basic commitments.
    
        The provider agrees to the following:
    * * * * *
        (l) In the case of a hospital as defined in Sec. 489.24(b) to 
    comply with Sec. 489.24.
        (m) In the case of a hospital as defined in Sec. 489.24(b), to 
    report to HCFA or the State survey agency any time it has reason to 
    believe it may have received an individual who has been transferred in 
    an unstable emergency medical condition from another hospital in 
    violation of the requirements of Sec. 489.24(d).
        (n) In the case of inpatient hospital services, to participate in 
    any health plan contracted for under 10 U.S.C. 1079 or 1086 or 38 
    U.S.C. 613, in accordance with Sec. 489.25.
        (o) In the case of inpatient hospital services, to admit veterans 
    whose admission has been authorized under 38 U.S.C. 603, in accordance 
    with Sec. 489.26.
        (p) In the case of a hospital that participates in the Medicare 
    program, to comply with Sec. 489.27 by giving each beneficiary a notice 
    about his or her discharge rights at or about the time of the 
    individual's admission.
        (q) In the case of a hospital as defined in Sec. 489.24(b)--
        (1) To post conspicuously in any emergency department or in a place 
    or places likely to be noticed by all individuals entering the 
    emergency department, as well as those individuals waiting for 
    examination and treatment in areas other than traditional emergency 
    departments (that is, entrance, admitting area, waiting room, treatment 
    area), a sign (in a form specified by the Secretary) specifying rights 
    of individuals under Section 1867 of the Act with respect to 
    examination and treatment for emergency medical conditions and women in 
    labor; and
        (2) To post conspicuously (in a form specified by the Secretary) 
    information indicating whether or not the hospital or rural primary 
    care hospital participates in the Medicaid program under a State plan 
    approved under title XIX.
        (r) In the case of a hospital as defined in Sec. 489.24(b) 
    (including both the transferring and receiving hospitals), to 
    maintain--
        (1) Medical and other records related to individuals transferred to 
    or from the hospital for a period of 5 years from the date of the 
    transfer;
        (2) A list of physicians who are on call for duty after the initial 
    examination to provide treatment necessary to stabilize an individual 
    with an emergency medical condition; and
        (3) A central log on each individual who comes to the emergency 
    department, as defined in Sec. 489.24(b), seeking assistance and 
    whether he or she refused treatment, was refused treatment, or whether 
    he or she was transferred, admitted and treated, stabilized and 
    transferred, or discharged.
        3. New Secs. 489.24 through 489.27 are added to read as follows:
    
    
    Sec. 489.24  Special responsibilities of Medicare hospitals in 
    emergency cases.
    
         (a) General. In the case of a hospital that has an emergency 
    department, if any individual (whether or not eligible for Medicare 
    benefits and regardless of ability to pay) comes by him or herself or 
    with another person to the emergency department and a request is made 
    on the individual's behalf for examination or treatment of a medical 
    condition by qualified medical personnel (as determined by the hospital 
    in its rules and regulations), the hospital must provide for an 
    appropriate medical screening examination within the capability of the 
    hospital's emergency department, including ancillary services routinely 
    available to the emergency department, to determine whether or not an 
    emergency medical condition exists. The examinations must be conducted 
    by individuals determined qualified by hospital by-laws or rules and 
    regulations and who meet the requirements of Sec. 482.55 concerning 
    emergency services personnel and direction.
        (b) Definitions. As used in this subpart--
        Capacity means the ability of the hospital to accommodate the 
    individual requesting examination or treatment of the transferred 
    individual. Capacity encompasses such things as numbers and 
    availability of qualified staff, beds and equipment and the hospital's 
    past practices of accommodating additional patients in excess of its 
    occupancy limits.
        Comes to the emergency department means, with respect to an 
    individual requesting examination or treatment, that the individual is 
    on the hospital property (property includes ambulances owned and 
    operated by the hospital, even if the ambulance is not on hospital 
    grounds). An individual in a nonhospital-owned ambulance on hospital 
    property is considered to have come to the hospital's emergency 
    department. An individual in a nonhospital-owned ambulance off hospital 
    property is not considered to have come to the hospital's emergency 
    department, even if a member of the ambulance staff contacts the 
    hospital by telephone or telemetry communications and informs the 
    hospital that they want to transport the individual to the hospital for 
    examination and treatment. In such situations, the hospital may deny 
    access if it is in ``diversionary status,'' that is, it does not have 
    the staff or facilities to accept any additional emergency patients. 
    If, however, the ambulance staff disregards the hospital's instructions 
    and transports the individual on to hospital property, the individual 
    is considered to have come to the emergency department.
        Emergency medical condition means--
         (i) A medical condition manifesting itself by acute symptoms of 
    sufficient severity (including severe pain, psychiatric disturbances 
    and/or symptoms of substance abuse) such that the absence of immediate 
    medical attention could reasonably be expected to result in--
        (A) Placing the health of the individual (or, with respect to a 
    pregnant woman, the health of the woman or her unborn child) in serious 
    jeopardy;
        (B) Serious impairment to bodily functions; or
        (C) Serious dysfunction of any bodily organ or part; or
        (ii) With respect to a pregnant woman who is having contractions--
        (A) That there is inadequate time to effect a safe transfer to 
    another hospital before delivery; or
        (B) That transfer may pose a threat to the health or safety of the 
    woman or the unborn child.
        Hospital includes a rural primary care hospital as defined in 
    section 1861(mm)(1) of the Act.
        Hospital with an emergency department means a hospital that offers 
    services for emergency medical conditions (as defined in this 
    paragraph) within its capability to do so.
        Labor means the process of childbirth beginning with the latent or 
    early phase of labor and continuing through the delivery of the 
    placenta. A woman experiencing contractions is in true labor unless a 
    physician certifies that, after a reasonable time of observation, the 
    woman is in false labor.
        Participating hospital means (i) a hospital or (ii) a rural primary 
    care 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.
        Stabilized means, with respect to an ``emergency medical 
    condition'' as defined in this section under paragraph (i) of that 
    definition, that no material deterioration of the condition is likely, 
    within reasonable medical probability, to result from or occur during 
    the transfer of the individual from a facility or, with respect to an 
    ``emergency medical condition'' as defined in this section under 
    paragraph (ii) of that definition, that the woman has delivered the 
    child and the placenta.
        To stabilize means, with respect to an ``emergency medical 
    condition'' as defined in this section under paragraph (i) of that 
    definition, to provide such medical treatment of the condition 
    necessary to assure, within reasonable medical probability, that no 
    material deterioration of the condition is likely to result from or 
    occur during the transfer of the individual from a facility or that, 
    with respect to an ``emergency medical condition'' as defined in this 
    section under paragraph (ii) of that definition, the woman has 
    delivered the child and the placenta.
        Transfer means the movement (including the discharge) of an 
    individual outside a hospital's facilities at the direction of any 
    person employed by (or affiliated or associated, directly or 
    indirectly, with) the hospital, but does not include such a movement of 
    an individual who (i) has been declared dead, or (ii) leaves the 
    facility without the permission of any such person.
        (c) Necessary stabilizing treatment for emergency medical 
    conditions--(1) General. If any individual (whether or not eligible for 
    Medicare benefits) comes to a hospital and the hospital determines that 
    the individual has an emergency medical condition, the hospital must 
    provide either--
        (i) Within the capabilities of the staff and facilities available 
    at the hospital, for further medical examination and treatment as 
    required to stabilize the medical condition; or
        (ii) For transfer of the individual to another medical facility in 
    accordance with paragraph (d) of this section.
        (2) Refusal to consent to treatment. A hospital meets the 
    requirements of paragraph (c)(1)(i) of this section with respect to an 
    individual if the hospital offers the individual the further medical 
    examination and treatment described in that paragraph and informs the 
    individual (or a person acting on the individual's behalf) of the risks 
    and benefits to the individual of the examination and treatment, but 
    the individual (or a person acting on the individual's behalf) refuses 
    to consent to the examination and treatment. The medical record must 
    contain a description of the examination, treatment, or both if 
    applicable, that was refused by or on behalf of the individual. The 
    hospital must take all reasonable steps to secure the individual's 
    written informed refusal (or that of the person acting on his or her 
    behalf). The written document should indicate that the person has been 
    informed of the risks and benefits of the examination or treatment, or 
    both.
        (3) Delay in examination or treatment. A participating hospital may 
    not delay providing an appropriate medical screening examination 
    required under paragraph (a) of this section or further medical 
    examination and treatment required under paragraph (c) in order to 
    inquire about the individual's method of payment or insurance status.
        (4) Refusal to consent to transfer. A hospital meets the 
    requirements of paragraph (c)(1)(ii) of this section with respect to an 
    individual if the hospital offers to transfer the individual to another 
    medical facility in accordance with paragraph (d) of this section and 
    informs the individual (or a person acting on his or her behalf) of the 
    risks and benefits to the individual of the transfer, but the 
    individual (or a person acting on the individual's behalf) refuses to 
    consent to the transfer. The hospital must take all reasonable steps to 
    secure the individual's written informed refusal (or that of a person 
    acting on his or her behalf). The written document must indicate the 
    person has been informed of the risks and benefits of the transfer and 
    state the reasons for the individual's refusal. The medical record must 
    contain a description of the proposed transfer that was refused by or 
    on behalf of the individual.
        (d) Restricting transfer until the individual is stabilized--(1) 
    General. If an individual at a hospital has an emergency medical 
    condition that has not been stabilized (as defined in paragraph (b) of 
    this section), the hospital may not transfer the individual unless--
        (i) The transfer is an appropriate transfer (within the meaning of 
    paragraph (d)(2) of this section); and
        (ii)(A) The individual (or a legally responsible person acting on 
    the individual's behalf) requests the transfer, after being informed of 
    the hospital's obligations under this section and of the risk of 
    transfer. The request must be in writing and indicate the reasons for 
    the request as well as indicate that he or she is aware of the risks 
    and benefits of the transfer;
        (B) A physician (within the meaning of section 1861(r)(1) of the 
    Act) has signed a certification that, based upon the information 
    available at the time of transfer, the medical benefits reasonably 
    expected from the provision of appropriate medical treatment at another 
    medical facility outweigh the increased risks to the individual or, in 
    the case of a woman in labor, to the woman or the unborn child, from 
    being transferred. The certification must contain a summary of the 
    risks and benefits upon which it is based; or
        (C) If a physician is not physically present in the emergency 
    department at the time an individual is transferred, a qualified 
    medical person (as determined by the hospital in its by-laws or rules 
    and regulations) has signed a certification described in paragraph 
    (d)(1)(ii)(B) of this section after a physician (as defined in section 
    1861(r)(1) of the Act) in consultation with the qualified medical 
    person, agrees with the certification and subsequently countersigns the 
    certification. The certification must contain a summary of the risks 
    and benefits upon which it is based.
        (2) A transfer to another medical facility will be appropriate only 
    in those cases in which--
        (i) The transferring hospital provides medical treatment within its 
    capacity that minimizes the risks to the individual's health and, in 
    the case of a woman in labor, the health of the unborn child;
        (ii) The receiving facility--
        (A) Has available space and qualified personnel for the treatment 
    of the individual; and
        (B) Has agreed to accept transfer of the individual and to provide 
    appropriate medical treatment;
        (iii) The transferring hospital sends to the receiving facility all 
    medical records (or copies thereof) related to the emergency condition 
    which the individual has presented that are available at the time of 
    the transfer, including available history, records related to the 
    individual's emergency medical condition, observations of signs or 
    symptoms, preliminary diagnosis, results of diagnostic studies or 
    telephone reports of the studies, treatment provided, results of any 
    tests and the informed written consent or certification (or copy 
    thereof) required under paragraph (d)(1)(ii) of this section, and the 
    name and address of any on-call physician (described in paragraph (f) 
    of this section) who has refused or failed to appear within a 
    reasonable time to provide necessary stabilizing treatment. Other 
    records (e.g., test results not yet available or historical records not 
    readily available from the hospital's files) must be sent as soon as 
    practicable after transfer; and
        (iv) The transfer is effected through qualified personnel and 
    transportation equipment, as required, including the use of necessary 
    and medically appropriate life support measures during the transfer.
        (3) A participating hospital may not penalize or take adverse 
    action against a physician or a qualified medical person described in 
    paragraph (d)(1)(ii)(C) of this section because the physician or 
    qualified medical person refuses to authorize the transfer of an 
    individual with an emergency medical condition that has not been 
    stabilized, or against any hospital employee because the employee 
    reports a violation of a requirement of this section.
        (e) Recipient hospital responsibilities. A participating hospital 
    that has specialized capabilities or facilities (including, but not 
    limited to, facilities such as burn units, shock-trauma units, neonatal 
    intensive care units, or (with respect to rural areas) regional 
    referral centers) may not refuse to accept from a referring hospital 
    within the boundaries of the United States an appropriate transfer of 
    an individual who requires such specialized capabilities or facilities 
    if the receiving hospital has the capacity to treat the individual.
        (f) Termination of provider agreement. If a hospital fails to meet 
    the requirements of paragraph (a) through (e) of this section, HCFA may 
    terminate the provider agreement in accordance with Sec. 489.53.
        (g) Consultation with Peer Review Organizations (PROs)--(1) 
    General. Except as provided in paragraph (g)(3) of this section, in 
    cases where a medical opinion is necessary to determine a physician's 
    or hospital's liability under section 1867(d)(1) of the Act, HCFA 
    requests the appropriate PRO (with a contract under Part B of title XI 
    of the Act) to review the alleged section 1867(d) violation and provide 
    a report on its findings in accordance with paragraph (g)(2)(iv) and 
    (v) of this section. HCFA provides to the PRO all information relevant 
    to the case and within its possession or control. HCFA, in consultation 
    with the OIG, also provides to the PRO a list of relevant questions to 
    which the PRO must respond in its report.
        (2) Notice of review and opportunity for discussion and additional 
    information. The PRO shall provide the physician and hospital 
    reasonable notice of its review, a reasonable opportunity for 
    discussion, and an opportunity for the physician and hospital to submit 
    additional information before issuing its report. When a PRO receives a 
    request for consultation under paragraph (g)(1) of this section, the 
    following provisions apply--
        (i) The PRO reviews the case before the 15th calendar day and makes 
    its tentative findings.
        (ii) Within 15 calendar days of receiving the case, the PRO gives 
    written notice, sent by certified mail, return receipt requested, to 
    the physician or the hospital (or both if applicable).
        (iii) (A) The written notice must contain the following 
    information:
        (1) The name of each individual who may have been the subject of 
    the alleged violation.
        (2) The date on which each alleged violation occurred.
        (3) An invitation to meet, either by telephone or in person, to 
    discuss the case with the PRO, and to submit additional information to 
    the PRO within 30 calendar days of receipt of the notice, and a 
    statement that these rights will be waived if the invitation is not 
    accepted. The PRO must receive the information and hold the meeting 
    within the 30-day period.
        (4) A copy of the regulations at 42 CFR 489.24.
        (B) For purposes of paragraph (g)(2)(iii)(A) of this section, the 
    date of receipt is presumed to be 5 days after the certified mail date 
    on the notice, unless there is a reasonable showing to the contrary.
        (iv) The physician or hospital (or both where applicable) may 
    request a meeting with the PRO. This meeting is not designed to be a 
    formal adversarial hearing or a mechanism for discovery by the 
    physician or hospital. The meeting is intended to afford the physician 
    and/or the hospital a full and fair opportunity to present the views of 
    the physician and/or hospital regarding the case. The following 
    provisions apply to that meeting:
        (A) The physician and/or hospital has the right to have legal 
    counsel present during that meeting. However, the PRO may control the 
    scope, extent, and manner of any questioning or any other presentation 
    by the attorney. The PRO may also have legal counsel present.
        (B) The PRO makes arrangements so that, if requested by HCFA or the 
    OIG, a verbatim transcript of the meeting may be generated. If HCFA or 
    OIG requests a transcript, the affected physician and/or the affected 
    hospital may request that HCFA provide a copy of the transcript.
        (C) The PRO affords the physician and/or the hospital an 
    opportunity to present, with the assistance of counsel, expert 
    testimony in either oral or written form on the medical issues 
    presented. However, the PRO may reasonably limit the number of 
    witnesses and length of such testimony if such testimony is irrelevant 
    or repetitive. The physician and/or hospital, directly or through 
    counsel, may disclose patient records to potential expert witnesses 
    without violating any non-disclosure requirements set forth in part 476 
    of this chapter.
        (D) The PRO is not obligated to consider any additional information 
    provided by the physician and/or the hospital after the meeting, 
    unless, before the end of the meeting, the PRO requests that the 
    physician and/or hospital submit additional information to support the 
    claims. The PRO then allows the physician and/or the hospital an 
    additional period of time, not to exceed 5 calendar days from the 
    meeting, to submit the relevant information to the PRO.
        (v) Within 60 calendar days of receiving the case, the PRO must 
    submit to HCFA a report on the PRO's findings. HCFA provides copies to 
    the OIG and to the affected physician and/or the affected hospital. The 
    report must contain the name of the physician and/or the hospital, the 
    name of the individual, and the dates and times the individual arrived 
    at and was transferred (or discharged) from the hospital. The report 
    provides expert medical opinion regarding whether the individual 
    involved had an emergency medical condition, whether the individual's 
    emergency medical condition was stabilized, whether the individual was 
    transferred appropriately, and whether there were any medical 
    utilization or quality of care issues involved in the case.
        (vi) The report required under paragraph (g)(2)(v) of this section 
    should not state an opinion or conclusion as to whether section 1867 of 
    the Act or Sec. 489.24 has been violated.
        (3) If a delay would jeopardize the health or safety of individuals 
    or when there was no screening examination, the PRO review described in 
    this section is not required before the OIG may impose civil monetary 
    penalties or an exclusion in accordance with section 1867(d)(1) of the 
    Act and 42 CFR part 1003 of this title.
        (4) If the PRO determines after a preliminary review that there was 
    an appropriate medical screening examination and the individual did not 
    have an emergency medical condition, as defined by paragraph (b) of 
    this section, then the PRO may, at its discretion, return the case to 
    HCFA and not meet the requirements of paragraph (g) except for those in 
    paragraph (g)(2)(v).
        (h) Release of PRO assessments. Upon request, HCFA may release a 
    PRO assessment to the physician and/or hospital, or the affected 
    individual, or his or her representative. The PRO physician's identity 
    is confidential unless he or she consents to its release. (See 
    Secs. 476.132 and 476.133 of this chapter.)
    
    
    Sec. 489.25  Special requirements concerning CHAMPUS and CHAMPVA 
    programs.
    
        For inpatient services, a hospital that participates in the 
    Medicare program must participate in any health plan contracted under 
    10 U.S.C. 1079 or 1086 (Civilian Health and Medical Program of the 
    Uniformed Services) and under 38 U.S.C. 613 (Civilian Health and 
    Medical Program of the Veterans Administration) and accept the CHAMPUS/
    CHAMPVA-determined allowable amount as payment in full, less applicable 
    deductible, patient cost-share, and noncovered items. Hospitals must 
    meet the requirements of 32 CFR part 199 concerning program benefits 
    under the Department of Defense. This section applies to inpatient 
    services furnished to beneficiaries admitted on or after January 1, 
    1987.
    
    
    Sec. 489.26  Special requirements concerning veterans.
    
        For inpatient services, a hospital that participates in the 
    Medicare program must admit any veteran whose admission is authorized 
    by the Department of Veterans Affairs under 38 U.S.C. 603 and must meet 
    the requirements of 38 CFR part 17 concerning admissions practices and 
    payment methodology and amounts. This section applies to services 
    furnished to veterans admitted on and after July 1, 1987.
    
    
    Sec. 489.27  Beneficiary notice of discharge rights.
    
        A hospital that participates in the Medicare program must furnish 
    each Medicare beneficiary, or an individual acting on his or her 
    behalf, the notice of discharge rights HCFA supplies to the hospital to 
    implement section 1886(a)(1)(M) of the Act. The hospital must furnish 
    the statement at or about the time of admission. The hospital must be 
    able to demonstrate compliance with this requirement. This provision is 
    effective with admissions beginning on or after July 22, 1994.
    
    Subpart E--Termination of Agreement and Reinstatement After 
    Termination
    
        4. In Sec. 489.53, the introductory text of paragraph (a) is 
    republished, paragraphs (a) (10), (11), and (12) are added, and 
    paragraphs (b) and (c)(2) are revised to read as follows:
    
    
    Sec. 489.53  Termination by HCFA.
    
        (a) Basis for termination of agreement with any provider. HCFA may 
    terminate the agreement with any provider if HCFA finds that any of the 
    following failings is attributable to that provider:
    * * * * *
        (10) In the case of a hospital or a rural primary care hospital as 
    defined in section 1861(mm)(1) of the Act that has reason to believe it 
    may have received an individual transferred by another hospital in 
    violation of Sec. 489.24(d), the hospital failed to report the incident 
    to HCFA or the State survey agency.
        (11) In the case of a hospital requested to furnish inpatient 
    services to CHAMPUS or CHAMPVA beneficiaries or to veterans, it failed 
    to comply with Sec. 489.25 or Sec. 489.26, respectively.
        (12) It failed to furnish the notice of discharge rights as 
    required by Sec. 489.27.
        (b) Termination of provider agreement. (1) In the case of a 
    hospital or rural primary care hospital that has an emergency 
    department as defined in Sec. 489.24(b), HCFA may terminate the 
    provider agreement if--
        (i) The hospital fails to comply with the requirements of 
    Sec. 489.24 (a) through (e), which require the hospital to examine, 
    treat or transfer emergency medical condition cases appropriately, and 
    require that hospitals with specialized capabilities or facilities 
    accept an appropriate transfer; or
        (ii) The hospital fails to comply with Sec. 489.20 (m), (q), and 
    (r), which require the hospital to report suspected violations of 
    Sec. 489.24(d), to post conspicuously in emergency departments or in a 
    place or places likely to be noticed by all individuals entering the 
    emergency departments, as well as those individuals waiting for 
    examination and treatment in areas other than traditional emergency 
    departments, (that is, entrance, admitting area, waiting room, 
    treatment area), signs specifying rights of individuals under this 
    subpart, to post conspicuously information indicating whether or not 
    the hospital participates in the Medicaid program, and to maintain 
    medical and other records related to transferred individuals for a 
    period of 5 years, a list of on-call physicians for individuals with 
    emergency medical conditions, and a central log on each individual who 
    comes to the emergency department seeking assistance.
        (2) In the case of a SNF, HCFA terminates a SNF's provider 
    agreement if it determines that--
        (i) The SNF no longer meets the requirements for long term care 
    facilities specified in part 483, subpart B of this chapter; and
        (ii) The SNF's deficiencies pose immediate jeopardy to patients' 
    health and safety.
        (c) Notice of termination.
    * * * * *
        (2) Exception.
        (i) For a SNF with deficiencies that pose immediate jeopardy to 
    patients' health and safety, HCFA gives notice of termination at least 
    2 days before the effective date of termination of the provider 
    agreement.
        (ii) If HCFA finds that a hospital is in violation of Sec. 489.24 
    (a) through (e), and HCFA determines that the violation poses immediate 
    and serious jeopardy to the health and safety of the individuals 
    presenting themselves to the hospital for emergency services, HCFA:
        (A) Gives a preliminary notice of termination notifying the 
    hospital that it will be terminated in 23 days if it does not correct 
    or refute the identified deficiencies;
        (B) Gives a final notice of termination and concurrent notice to 
    the public at least 2 and not more than 4 days before the effective 
    date of termination of the provider agreement.
    * * * * *
        C. Part 1003 is amended as follows:
    
    PART 1003--CIVIL MONEY PENALTIES AND ASSESSMENTS
    
        1. The authority citation for part 1003 is revised to read as 
    follows:
    
        Authority: 42 U.S.C. 1302, 1320a-7, 1320a-7a, 1320b-10, 
    1395u(j), 1395u(k), 1395dd(d)(1), 11131(c) and 11137(b)(2).
    
        2. In Sec. 1003.100, the introductory language in paragraph (b) is 
    republished, paragraphs (b)(1) introductory text, (b)(1)(iv) and 
    (b)(1)(v) are revised, and a new paragraph (b)(1)(vi) is added to read 
    as follows:
    
    
    Sec. 1003.100  Basis and purpose.
    
    * * * * *
        (b) Purpose. This part--
        (1) Provides for the imposition of civil monetary penalties and, as 
    applicable, assessments against persons who--
    * * * * *
        (iv) Fail to report information concerning medical malpractice 
    payments or who improperly disclose, use or permit access to 
    information reported under part B of title IV of Public Law 99-660, and 
    regulations specified in 45 CFR part 60;
        (v) Misuse certain Medicare and Social Security program words, 
    letters, symbols and emblems; or
        (vi) Violate a requirement of section 1867 of the Act or 
    Sec. 489.24 of this title;
    * * * * *
        3. Section 1003.101 is amended by adding definitions for the terms 
    ``participating hospital'' and ``responsible physician,'' and by 
    revising the definition of ``respondent'' to read as follows:
    
    
    Sec. 1003.101  Definitions.
    
        For purposes of this part:
    * * * * *
        Participating hospital means (1) a hospital or (2) a rural primary 
    care 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.
    * * * * *
        Respondent means the person upon whom the Department has imposed, 
    or proposes to impose, a penalty, assessment or exclusion.
        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 seeking assistance and 
    includes a physician on call for the care of such individual.
    * * * * *
        4. Section 1003.102 is amended by redesignating paragraph (c) as 
    paragraph (d), adding a new paragraph (c), and revising redesignated 
    paragraph (d) to read as follows:
    
    
    Sec. 1003.102  Basis for civil money penalties and assessment.
    
    * * * * *
        (c) (1) The Office of the Inspector General (OIG) may impose a 
    penalty for violations of section 1867 of the Act or Sec. 489.24 of 
    this title against--
        (i) Any participating hospital with an emergency department that--
        (A) Knowingly violates the statute on or after August 1, 1986 or;
        (B) Negligently violates the statute on or after May 1, 1991; and
        (ii) Any responsible physician who--
        (A) Knowingly violates the statute on or after August 1, 1986;
        (B) Negligently violates the statute on or after May 1, 1991;
        (C) Signs a certification under section 1867(c)(1)(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
        (D) Misrepresents an individual's condition or other information, 
    including a hospital's obligations under this section.
        (2) For purposes of this section, a responsible physician or 
    hospital ``knowingly'' violates section 1867 of the Act if the 
    responsible physician or hospital recklessly disregards, or 
    deliberately ignores a material fact.
        (d) (1) In any case in which it is determined that more than one 
    person was responsible for presenting or causing to be presented a 
    claim as described in paragraph (a) of this section, each such person 
    may be held liable for the penalty prescribed by this part, and an 
    assessment may be imposed 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.
        (2) In any case in which it is determined that more than one person 
    was responsible for presenting or causing to be presented a request for 
    payment or for giving false or misleading information as described in 
    paragraph (b) of this section, each such person may be held liable for 
    the penalty prescribed by this part.
        (3) In any case in which it is determined that more than one person 
    was responsible for failing to report information that is required to 
    be reported on a medical malpractice payment, or for improperly 
    disclosing, using, or permitting access to information, as described in 
    paragraphs (b)(5) and (b)(6) of this section, each such person may be 
    held liable for the penalty prescribed by this part.
        (4) In any case in which it is determined that more than one 
    responsible physician violated the provisions of section 1867 of the 
    Act or of Sec. 489.24 of this title, a penalty may be imposed against 
    each responsible physician.
        (5) Under this section, a principal is liable for penalties and 
    assessments for the actions of his or her agent acting within the scope 
    of the agency.
    
        5. Section 1003.103 is amended by revising paragraph (a), and 
    adding a new paragraph (e) to read as follows:
    
    
    Sec. 1003.103  Amount of penalty.
    
        (a) Except as provided in paragraphs (b), (c), (d), and (e) of this 
    section, the OIG may impose a penalty of not more than $2,000 for each 
    item or service that is subject to a determination under Sec. 1003.102.
    * * * * *
        (e) For violations of section 1867 of the Act or Sec. 489.24 of 
    this title, the OIG may impose--
        (1) Against each participating hospital with an emergency 
    department, a penalty of not more than--
        (i) $25,000 for each knowing violation occurring on or after August 
    1, 1986 and before December 22, 1987;
        (ii) $50,000 for each knowing violation occurring on or after 
    December 22, 1987; and
        (iii) $50,000 for each negligent violation occurring on or after 
    May 1, 1991, 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; and
        (2) Against each responsible physician, a penalty of not more 
    than--
        (i) $25,000 for each knowing violation occurring on or after August 
    1, 1986 and before December 22, 1987;
        (ii) $50,000 for each knowing violation occurring on or after 
    December 22, 1987; and
        (iii) $50,000 for each negligent violation occurring on or after 
    May 1, 1991.
    
        6. Section 1003.105 is revised to read as follows:
    
    
    Sec. 1003.105  Exclusion from participation in Medicare and State 
    health care programs.
    
        (a) (1) Except as set forth in paragraph (b) of this section, the 
    following persons may be subject, in lieu of or in addition to any 
    penalty or assessment, to an exclusion from participation in Medicare 
    for a period of time determined under Sec. 1003.107. The OIG will also 
    direct each appropriate State agency to exclude the person from each 
    health care program for the same period of time--
        (i) Any person who is subject to a penalty or assessment under 
    Sec. 1003.102 (a) or (b)(1) through (b)(4).
        (ii) Any responsible physician who--
        (A) Knowingly violates section 1867 of the Act or Sec. 489.24 of 
    this title on or after December 22, 1987, but before July 1, 1990;
        (B) Knowingly and willfully, or negligently, violates section 1867 
    of the Act or Sec. 489.24 of this title on or after July 1, 1990 but 
    before May 1, 1991; or
        (C) Commits a gross and flagrant, or repeated, violation of section 
    1867 of the Act or Sec. 489.24 of this title on or after May 1, 1991. 
    For purposes of this section, a gross and flagrant violation is one 
    that presents an imminent danger to the health, safety or well-being of 
    the individual who seeks emergency examination and treatment or places 
    that individual unnecessarily in a high-risk situation.
        (2) Nothing in this section will be construed to limit the 
    Department's authority to impose an exclusion without imposing a 
    penalty.
        (b)(1) With respect to determinations under Sec. 1003.102 (b)(2) or 
    (b)(3), or with respect to violations occurring on or after December 
    22, 1987 and before July 1, 1990 under Sec. 1003.105(a)(1)(ii), a 
    physician may not be excluded if the OIG determines that he or she is 
    the sole community physician or the sole source of essential 
    specialized services in a community.
        (2)(i) With respect to any exclusion based on liability for a 
    penalty or assessment under Sec. 1003.102 (a), (b)(1), or (b)(4), the 
    OIG will consider an application from a State agency for a waiver if 
    the person is the sole community physician or the sole source of 
    essential specialized services in a community. With respect to any 
    exclusion imposed under Sec. 1003.105(a)(1)(ii), the OIG will consider 
    an application from a State agency for a waiver if the physician's 
    exclusion from the State health care program would deny beneficiaries 
    access to medical care or would otherwise cause hardship to 
    beneficiaries.
        (ii) If a waiver is granted, it is applicable only to the State 
    health care program for which the State requested the waiver.
        (iii) If the OIG subsequently obtains information that the basis 
    for a waiver no longer exists, or the State agency submits evidence 
    that the basis for the waiver no longer exists, the waiver will cease 
    and the person will be excluded from the State health care program for 
    the remainder of the period that the person is excluded from Medicare.
        (iv) The OIG notifies the State agency whether its request for a 
    waiver has been granted or denied.
        (v) The decision to deny a waiver is not subject to administrative 
    or judicial review.
        (3) For purposes of this section, the definitions contained in 
    Sec. 1001.2 of this chapter for ``sole community physician'' and ``sole 
    source of essential specialized services in a community'' apply.
        (c) When the Inspector General proposes to exclude a nursing 
    facility from the Medicare and Medicaid programs, he or she will, at 
    the same time he or she notifies the respondent, notify the appropriate 
    State licensing authority, the State Office of Aging, the long-term 
    care ombudsman, and the State Medicaid agency of the Inspector 
    General's intention to exclude the facility.
    
        7. Section 1003.106 is amended by adding a heading to paragraph 
    (a), adding paragraph (a)(4), and revising the introductory text of 
    paragraph (b) to read as follows:
    
    
    Sec. 1003.106  Determinations regarding the amount of the penalty and 
    assessment.
    
        (a) Amount of penalty.
    * * * * *
        (4) In determining the amount of any penalty in accordance with 
    Sec. 1003.102(c), the OIG takes into account--
        (i) The degree of culpability of the respondent;
        (ii) The seriousness of the condition of the individual seeking 
    emergency medical treatment;
        (iii) The prior history of offenses of the respondent in failing to 
    provide appropriate emergency medical screening, stabilization and 
    treatment of individuals coming to a hospital's emergency department or 
    to effect an appropriate transfer;
        (iv) The respondent's financial condition;
        (v) The nature and circumstances of the violation; and
        (vi) Such other matters as justice may require.
        (b) Determining the amount of the penalty or assessment. As 
    guidelines for taking into account the factors listed in paragraph 
    (a)(1) of this section, the following circumstances are to be 
    considered--
    * * * * *
        8. Section 1003.107 is revised to read as follows:
    
    
    Sec. 1003.107  Determinations regarding exclusion.
    
        (a) In determining whether to exclude a person under this part and 
    the duration of any exclusion, the Department considers the 
    circumstances described in Sec. 1003.106(a).
        (b) With respect to determinations to exclude a person under 
    Secs. 1003.102(a) or (b)(1) through (b)(4), the Department considers 
    those circumstances described in Sec. 1003.106(b). Where there are 
    aggravating circumstances with respect to such determinations, the 
    person should be excluded.
        (c) In determining whether to exclude a physician under 
    Secs. 1003.102(b)(2) or (b)(3) or, with respect to a violation 
    occurring on or after December 22, 1987 and before July 1, 1990, under 
    Sec. 1003.105(a)(1)(ii), the Department also considers the access of 
    beneficiaries to physicians' services.
        (d) Except as set forth in paragraph (e), the guidelines set forth 
    in this section are not binding. Nothing in this section limits the 
    authority of the Department to settle any issue or case as provided by 
    Sec. 1003.126.
        (e) An exclusion based on a determination under 
    Secs. 1003.102(b)(2) or (b)(3) or, with respect to a violation 
    occurring on or after December 22, 1987 and before July 1, 1990, under 
    Sec. 1003.105(a)(1)(ii), may not exceed 5 years.
        9. Section 1003.108 is revised to read as follows:
    
    
    Sec. 1003.108  Penalty, assessment, and exclusion not exclusive.
    
        Penalties, assessments, and exclusions imposed under this part are 
    in addition to any other penalties prescribed by law.
        10. Section 1003.109 is amended by revising paragraphs (a) 
    introductory text and (a)(4) through (6), and by adding paragraphs 
    (a)(7) and (c) to read as follows:
    
    
    Sec. 1003.109  Notice of proposed determination.
    
        (a) If the Inspector General proposes a penalty and, when 
    applicable, assessment, or proposes to exclude a respondent from 
    participation in Medicare or any State health care program, as 
    applicable, in accordance with this part, he or she must deliver or 
    send by certified mail, return receipt requested, to the respondent, 
    written notice of his or her intent to impose a penalty, assessment and 
    exclusion, as applicable. The notice includes--
    * * * * *
        (4) The amount of the proposed penalty, assessment and the period 
    of proposed exclusion (where applicable);
        (5) Any circumstances described in Sec. 1003.106 that were 
    considered when determining the amount of the proposed penalty and 
    assessment and the period of exclusion;
         (6) Instructions for responding to the notice, including--
        (i) A specific statement of 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 
    provider's agreement in accordance with section 1866(b)(2)(C) of the 
    Act.
    * * * * *
        (c) If the respondent fails, within the time permitted, to exercise 
    his or her right to a hearing under this section, any exclusion, 
    penalty, or assessment becomes final.
    
    (Catalog of Federal Domestic Assistance Program No. 93.773, 
    Medicare--Hospital Insurance)
    
        Dated: May 27, 1994.
    Bruce C. Vladeck,
    Administrator, Health Care Financing Administration.
        Dated: May 27, 1994.
    June G. Brown,
    Inspector General, Department of Health and Human Services.
        Dated: June 13,1994.
    Donna E. Shalala,
    Secretary.
    
    Appendix I--An Important Message From Medicare; Your Rights While You 
    Are a Medicare Hospital Patient
    
         You have the right to receive all the hospital care 
    that is necessary for the proper diagnosis and treatment of your 
    illness or injury. According to Federal law, your discharge date 
    must be determined solely by your medical needs, not by ``Diagnosis 
    Related Groups'' (DRGs) or Medicare payments.
         You have the right to be fully informed about decisions 
    affecting your Medicare coverage and payment for your hospital stay 
    and for any post-hospital services.
         You have the right to request a review by a Peer Review 
    Organization (PRO) of any written Notice of Noncoverage that you 
    receive from the hospital stating that Medicare will no longer pay 
    for your hospital care. PROs are groups of doctors who are paid by 
    the Federal Government to review medical necessity, appropriateness 
    and quality of hospital treatment furnished to Medicare patients. 
    The phone number and address of the PRO for your area are:
    
    Talk to Your Doctor About Your Stay in the Hospital
    
        You and your doctor know more about your condition and your 
    health needs than anyone else. Decisions about your medical 
    treatment should be made between you and your doctor. If you have 
    any questions about your medical treatment, your need for continued 
    hospital care, your discharge, or your need for possible post-
    hospital care, don't hesitate to ask your doctor. The hospital's 
    patient representative or social worker will also help you with your 
    questions and concerns about hospital services.
    
    If You Think You Are Being Asked To Leave the Hospital Too Soon
    
         Ask a hospital representative for a written notice of 
    explanation immediately, if you have not already received one. This 
    notice is called a Notice of Noncoverage. You must have this Notice 
    of Noncoverage if you wish to exercise your right to request a 
    review by the PRO.
         The Notice of Noncoverage will state either that your 
    doctor or the PRO agrees with the hospital's decision that Medicare 
    will no longer pay for your hospital care.
    
    --If the hospital and your doctor agree, the PRO does not review 
    your case before a Notice of Noncoverage is issued. But the PRO will 
    respond to your request for a review of your Notice of Noncoverage 
    and seek your opinion. You cannot be made to pay for your hospital 
    care until the PRO makes its decision, if you request the review by 
    noon of the first work day after you receive the Notice of 
    Noncoverage.
    --If the hospital and your doctor disagree, the hospital may request 
    the PRO to review your case. If it does make such a request, the 
    hospital is required to send you a notice to that effect. In this 
    situation the PRO must agree with the hospital or the hospital 
    cannot issue a Notice of Noncoverage. You may request that the PRO 
    reconsider your case after you receive a Notice of Noncoverage, but 
    since the PRO has already reviewed your case once, you may have to 
    pay for at least one day of hospital care before the PRO completes 
    this reconsideration.
    
        If you do not request a review, the hospital may bill you for 
    all the costs of your stay beginning with the third day after you 
    receive the Notice of Noncoverage. The hospital, however, cannot 
    charge you for care unless it provides you with a Notice of 
    Noncoverage.
    
    How To Request a Review of the Notice of Noncoverage
    
         If the Notice of Noncoverage states that your physician 
    agrees with the hospital's decision.
    
    --You must make your request for review to the PRO by noon of the 
    first work day after you receive the Notice of Noncoverage by 
    contacting the PRO by phone or in writing.
    --The PRO must ask for your views about your case before making its 
    decision. The PRO will inform you by phone or in writing of its 
    decision on the review.
    --If the PRO agrees with the Notice of Noncoverage, you may be 
    billed for all costs of your stay beginning at noon of the day you 
    receive the PRO's decision.
    --Thus, you will not be responsible for the cost of hospital care 
    before you receive the PRO's decision.
         If the Notice of Noncoverage states that the PRO agrees 
    with the hospital's decision:
    
    --You should make your request for reconsideration to the PRO 
    immediately upon receipt of the Notice of Noncoverage by contacting 
    the PRO by phone or in writing.
    --The PRO can take up to three working days from receipt of your 
    request to complete the review. The PRO will inform you in writing 
    of its decision on the review.
    --Since the PRO has already reviewed your case once, prior to the 
    issuance of the Notice of Noncoverage, the hospital is permitted to 
    begin billing you the cost of your stay beginning with the third 
    calendar day after you receive your Notice of Noncoverage even if 
    the PRO has not completed its review.
    --Thus, if the PRO continues to agree with the Notice of 
    Noncoverage, you may have to pay for at least one day of hospital 
    care.
    
        Note: The process described above is called ``immediate 
    review.'' If you miss the deadline for this immediate review while 
    you are in the hospital, you may still request a review of 
    Medicare's decision to no longer pay for your care at any point 
    during your hospital stay or after you have left the hospital. The 
    Notice of Noncoverage will tell you how to request this review.
    
    Post-Hospital Care
    
        When your doctor determines that you no longer need all the 
    specialized services provided in a hospital, but you still require 
    medical care, he or she may discharge you to a skilled nursing 
    facility or home care. The discharge planner at the hospital will 
    help arrange for the services you may need after your discharge. 
    Medicare and supplemental insurance policies have limited coverage 
    for skilled nursing facility care and home health care. Therefore, 
    you should find out which services will or will not be covered and 
    how payment will be made. Consult with your doctor, hospital 
    discharge planner, patient representative, and your family in making 
    preparations for care after you leave the hospital. Don't hesitate 
    to ask questions.
        Acknowledge of Receipt--My signature only acknowledges my 
    receipt of this Message from (name of hospital) on (date) and does 
    not waive any of my rights to request a review or make me liable for 
    any payment.
    
    ----------------------------------------------------------------------
    Signature of beneficiary or person acting on behalf of beneficiary
    
    ----------------------------------------------------------------------
    Date of receipt
    
    Appendix II--Posting of Signs
    
        Section 6018(a)(2) of the Omnibus Budget Reconciliation Act of 
    1989 (OBRA '89), effective July 1, 1990, requires hospitals and 
    rural primary care hospitals with emergency departments to post 
    signs which specify the rights (under section 1867 of the Social 
    Security Act) of women in labor and individuals with emergency 
    medical conditions to examination and treatment.
        To comply with these requirements:
         At a minimum, the signs must specify the rights of 
    unstable individuals with emergency conditions and women in labor 
    who come to the emergency department for health care services;
         It must indicate whether the facility participates in 
    the Medicaid program;
         The wording of the sign must be clear and in simple 
    terms understandable by the population serviced;
         Print the signs in English and other major languages 
    that are common to the population of the area serviced;
         The letters within the signs must be clearly readable 
    at a distance of at least 20 feet or the expected vantage point of 
    the emergency department patrons; and
         Post signs in a place or places likely to be noticed by 
    all individuals entering the emergency department, as well as those 
    individuals waiting for examination and treatment (e.g., entrance, 
    admitting area, waiting room, treatment area).
        The sample on the following page, which may be adapted for your 
    use, contains sufficient information to satisfy these requirements. 
    It does not, however, satisfy the visibility requirement.
    
    Appendix III--It's the Law! If You Have a Medical Emergency or Are in 
    Labor
    
        You have the right to receive, within the capabilities of this 
    hospital's staff and facilities:
         An appropriate medical Screening Examination.
         Necessary Stabilizing Treatment (including treatment 
    for an unborn child) and if necessary.
         An appropriate Transfer to another facility even if you 
    cannot pay or do not have medical insurance or you are not entitled 
    to Medicare or Medicaid.
        This hospital (does/does not) participate in the Medicaid 
    program.
    
    [FR Doc. 94-14926 Filed 6-16-94; 1:43 pm]
    BILLING CODE 4120-01-P
    
    
    

Document Information

Published:
06/22/1994
Department:
Health Care Finance Administration
Entry Type:
Uncategorized Document
Action:
Interim final rule with comment period.
Document Number:
94-14926
Dates:
Effective date: This interim final rule with comment period is effective July 22, 1994, with the exception of the new information collection and recordkeeping requirements contained in Sec. 488.18, Sec. 489.20(m), Sec. 489.20(r)(2) and (3), and Sec. 489.24(d) and (g), which are not yet approved by OMB under the Paperwork Reduction Act of 1980. Following OMB approval, a document will be published in the Federal Register announcing the effective date for those sections.
Pages:
0-0 (1 pages)
Docket Numbers:
Federal Register: June 22, 1994, BPD-393-IFC
RINs:
0938-AC58: Participation in CHAMPUS and CHAMPVA, Hospital Admissions for Veterans, Discharge Rights Notice, and Hospital Responsibility for Emergency Care (HCFA-1393-IFC)
RIN Links:
https://www.federalregister.gov/regulations/0938-AC58/participation-in-champus-and-champva-hospital-admissions-for-veterans-discharge-rights-notice-and-ho
CFR: (26)
42 CFR 1003.105(a)(1)(ii)
42 CFR 1003.102(c)
42 CFR 489.24(d)
42 CFR 489.20(m)
38 CFR 489.27
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