Colo. Rev. Stat. § 12-30-102

Current through Chapter 519 of the 2024 Legislative Session and Chapter 2 of the 2024 First Extraordinary Session
Section 12-30-102 - Medical transparency act of 2010 - disclosure of information about health-care providers - fines - rules - short title - legislative declaration - review of functions - repeal
(1) The short title of this section is the "Michael Skolnik Medical Transparency Act of 2010".
(2)
(a) The general assembly hereby finds and determines that:
(I) The people of Colorado need to be fully informed about the past practices of persons practicing a health-care profession in this state in order to make informed decisions when choosing a health-care provider and determining whether to proceed with a particular regimen of care recommended by a health-care provider;
(II) The purpose of this section is to provide transparency to the public regarding the competency of persons engaged in the practice of certain health-care professions in this state to assist citizens in making informed health-care decisions.
(b) The general assembly further finds and declares that it is important to make information about persons engaged in the practice of a health-care profession available to the public in a manner that is efficient, cost-effective, and maintains the integrity of the information, and to that end, the general assembly encourages persons to file the required information with the division electronically, to the extent possible.
(3)
(a) As used in this section, "applicant" means a person applying for a new, active license, certification, or registration or to renew, reinstate, or reactivate an active license, certification, or registration to practice:
(I) Audiology pursuant to article 210 of this title 12;
(II) As a licensed hearing aid provider pursuant to part 2 of article 230 of this title 12;
(III) Acupuncture pursuant to article 200 of this title 12;
(IV) Podiatry pursuant to article 290 of this title 12;
(V) Chiropractic pursuant to article 215 of this title 12;
(VI) Dentistry pursuant to article 220 of this title 12;
(VII) Dental therapy or dental hygiene pursuant to article 220 of this title 12;
(VIII) Medicine pursuant to article 240 of this title 12 or part 36 of article 60 of title 24;
(IX) As a physician assistant or an anesthesiologist assistant pursuant to article 240 of this title 12;
(X) Direct-entry midwifery pursuant to article 225 of this title 12;
(XI) Practical nursing, professional nursing, advanced practice registered nursing, or as a certified midwife pursuant to article 255 of this title 12;
(XII) Optometry pursuant to article 275 of this title 12;
(XIII) Physical therapy pursuant to article 285 of this title 12;
(XIV) Psychology pursuant to part 3 of article 245 of this title 12;
(XV) Social work pursuant to part 4 of article 245 of this title 12;
(XVI) Marriage and family therapy pursuant to part 5 of article 245 of this title 12;
(XVII) Professional counseling pursuant to part 6 of article 245 of this title 12;
(XVIII) Psychotherapy pursuant to part 7 of article 245 of this title 12;
(XIX) Addiction counseling pursuant to part 8 of article 245 of this title 12;
(XX) Speech-language pathology pursuant to article 305 of this title 12;
(XXI) Athletic training pursuant to article 205 of this title 12;
(XXII) Massage therapy pursuant to article 235 of this title 12;
(XXIII) As a certified nurse aide pursuant to article 255 of this title 12;
(XXIV) Occupational therapy pursuant to article 270 of this title 12;
(XXV) Respiratory therapy pursuant to article 300 of this title 12;
(XXVI) Pharmacy pursuant to article 280 of this title 12;
(XXVII) As a psychiatric technician pursuant to article 295 of this title 12;
(XXVIII) As a surgical assistant or surgical technologist pursuant to article 310 of this title 12; and
(XXIX) Naturopathic medicine pursuant to article 250 of this title 12.
(b) A person who is an applicant under this subsection (3) is not, by virtue of inclusion in this section, a health-care provider for purposes of any other provision of Colorado law.
(4) When applying for a new license, certification, or registration or to renew, reinstate, or reactivate a license, certification, or registration in this state, each applicant shall provide the following information to the director, in a form and manner determined by the director, as applicable to each profession:
(a)
(I) The applicant's full name, including any known aliases;
(II) The applicant's current address of record and telephone number;
(III) The applicant's location of practice, if different than the address of record;
(IV) The applicant's education and training related to the applicant's profession;
(V) Information pertaining to any license, certification, or registration to practice in the profession for which the applicant seeks licensure, certification, or registration, issued or held during the immediately preceding ten years, including the license, certification, or registration status and year of issuance;
(VI) Any board certifications and specialties, if applicable;
(VII) Any affiliations with or clinical privileges held in hospitals or health-care facilities;
(VIII) Any health-care-related business ownership interests;
(IX) Information pertaining to the applicant's employer, if any, including name, current address, and telephone number; and
(X) Information pertaining to any health-care-related employment contracts or contracts establishing an independent contractor relationship with any entities if the annual aggregate value of the contracts exceeds five thousand dollars, as adjusted by the director during each license, certification, or registration renewal cycle to reflect changes in the United States department of labor, bureau of labor statistics, consumer price index for Denver-Aurora-Lakewood for all items and all urban consumers, or its applicable predecessor or successor index. Nothing in this subsection (4)(a)(X) requires an applicant to report such information regarding contracts with insurance carriers for reimbursement of health-care services provided to patients.
(b) Any public disciplinary action taken against the applicant by the applicable regulator or the board or licensing agency of any other state or country. The applicant shall provide a copy of the action to the director at the time the application is made.
(c) Any agreement or stipulation entered into between the applicant and the regulator or the board or licensing agency of any other state or country whereby the applicant agrees to temporarily cease or restrict the applicant's practice, or any regulator's order restricting or suspending the applicant's license, certification, or registration. The applicant shall provide a copy of the agreement, stipulation, or order to the director at the time the application is made.
(d)
(I) Any final action that results in an involuntary limitation or probationary status on, or a reduction, nonrenewal, denial, revocation, or suspension of, the applicant's medical staff membership or clinical privileges at any hospital or health-care facility occurring on or after September 1, 1990. The applicant shall not be required to report a precautionary or administrative suspension of medical staff membership or clinical privileges, as defined by the director by rule, unless the applicant resigns the applicant's medical staff membership or clinical privileges while the precautionary or administrative suspension is pending. To report the information required by this subsection (4)(d), the applicant shall complete a form developed by the director that requires the applicant to report only the following information regarding the action:
(A) The name of the facility or entity that took the action;
(B) The date the action was taken;
(C) The type of action taken, including any terms and conditions of the action;
(D) The duration of the action; and
(E) Whether the applicant has fulfilled the terms or conditions of the action, if applicable.
(II) Notwithstanding part 2 of this article 30, article 3 of title 25, and any provision of law to the contrary, the form completed by the applicant pursuant to this subsection (4)(d) is a public record and is not confidential. Compliance with this subsection (4)(d) does not constitute a waiver of any privilege or confidentiality conferred by any applicable state or federal law.
(e) Any final action of an employer that results in the applicant's loss of employment where the grounds for termination constitute a violation of the laws governing the applicant's practice. To report the information required by this subsection (4)(e), the applicant shall complete a form developed by the director that requires the applicant to report only the following information regarding the action:
(I) The name of the employer that terminated the employment; and
(II) The date the termination occurred or became effective.
(f) Any involuntary surrender of the applicant's federal drug enforcement administration registration. The applicant shall provide a copy of the order requiring the surrender of the registration to the director at the time the application is made.
(g) Any final criminal conviction or plea arrangement resulting from the commission or alleged commission of a felony or crime of moral turpitude in any jurisdiction at any time after the applicant has been issued a license, certification, or registration to practice the applicant's health-care profession in any state or country. The applicant shall provide a copy of the final conviction or plea arrangement to the director at the time the application is made.
(h) Any final judgment against, settlement entered into by, or arbitration award paid on behalf of the applicant on or after September 1, 1990, for malpractice. To report the information required by this subsection (4)(h), the applicant shall complete a form developed by the director that requires the applicant to report only the following information regarding the malpractice action:
(I) Whether the action was resolved by a final judgment against, settlement entered into by, or arbitration award paid on behalf of the applicant;
(II) The date of the judgment, settlement, or arbitration award;
(III) The location or jurisdiction in which the action occurred or was resolved; and
(IV) The court in which the final judgment was ordered, the mediator that aided in the settlement, if applicable, or the arbitrator that granted the arbitration award.
(i) Any refusal by an issuer of professional liability insurance to issue a policy to the applicant due to past claims experience. The applicant shall provide a copy of the refusal to the director at the time the application is made.
(5) In addition to the information required by subsection (4) of this section, an applicant may submit information regarding awards and recognitions the applicant has received or charity care the applicant has provided. The director may remove information regarding awards and recognitions that the director finds to be unrelated to the applicant's profession or offensive or inappropriate.
(6) The director shall make the information specified in subsections (4) and (5) of this section that is submitted by an applicant readily available to the public in a manner that allows the public to search the information by name, license number, board certification or specialty area, if applicable, or city of the applicant's address of record. The director may satisfy this requirement by posting and allowing the ability to search the information on the director's website or on the website for the applicable regulator that oversees the applicant's practice. If the information is made available on either website, the director shall ensure that the website is updated at least monthly and that the date on which the update occurs is indicated on the website. If the information made available pursuant to this subsection (6) is the same or substantially similar to information the director must make available pursuant to section 12-310-103 (3), the director may elect to use this database as the exclusive means for making the information required by section 12-310-103 (3) publicly available.
(7) When disclosing information regarding an applicant to the public, the applicable regulator shall include the following statement or a similar statement that communicates the same meaning:

Some studies have shown that there is no significant correlation between malpractice history and a [insert applicable type of health-care provider]'s competence. At the same time, the [insert name of applicable regulator] believes that consumers should have access to malpractice information. To make the best health-care decisions, you should view this information in perspective. You could miss an opportunity for high-quality care by selecting a health-care provider based solely on malpractice history. When considering malpractice data, please keep in mind: Malpractice histories tend to vary by profession and, as applicable, by specialty. Some professions or specialties are more likely than others to be the subject of litigation. You should take into account how long the health-care provider has been in practice when considering malpractice averages. The incident causing the malpractice claim may have happened years before a malpractice action is finally resolved. Sometimes, it takes a long time for a malpractice lawsuit to move through the legal system. Some health-care providers work primarily with high-risk patients. These health-care providers may have malpractice histories that are higher than average because they specialize in cases or patients who are at very high risk for problems. Settlement of a claim may occur for a variety of reasons that do not necessarily reflect negatively on the professional competence or conduct of the health-care provider. A payment in settlement of a malpractice action or claim should not be construed as creating a presumption that malpractice has occurred. You may wish to discuss information provided by the [insert name of applicable regulator], and malpractice generally, with your health-care provider. The information posted on the [applicable regulator's] website was provided by applicants for a license and applicants for renewal, reinstatement, or reactivation of a license.

(8)
(a) Except as specified in subsection (8)(b) of this section, an applicant, licensee, certificate holder, or registrant shall ensure that the information required by subsection (4) of this section is current and shall report any updated information and provide copies of the required documentation to the director within thirty days after the date of the action described in said subsection (4) or as otherwise provided in the part or article of this title 12 that regulates the applicant's, licensee's, certificate holder's, or registrant's profession to ensure that the information provided to the public is as accurate as possible.
(b) An applicant shall report updated information regarding the applicant's employer, any health-care-related business ownership interests, and any health-care-related employment contracts or contracts establishing an independent contractor relationship, as required by subsection (4)(a) of this section, within one year after a change in that information.
(9)
(a) The director may impose an administrative fine not to exceed five thousand dollars against an applicant, licensee, certificate holder, or registrant who fails to comply with this section. The director shall notify the applicable regulator when the director imposes a fine pursuant to this subsection (9). Any fine imposed pursuant to this subsection (9) shall be deposited in the general fund.
(b) The imposition of an administrative fine pursuant to this subsection (9) shall not constitute a disciplinary action pursuant to the laws governing the applicant's, licensee's, certificate holder's, or registrant's practice area and shall not preclude the applicable regulator from taking disciplinary action against an applicant, licensee, certificate holder, or registrant for failure to comply with this section. A license, certification, or registration shall not be issued, renewed, reinstated, or reactivated if the applicant has failed to pay a fine imposed pursuant to this subsection (9).
(c) Failure of an applicant, licensee, certificate holder, or registrant to comply with this section constitutes unprofessional conduct or grounds for discipline under the specific part or article of this title 12 that regulates the applicant's, licensee's, certificate holder's, or registrant's profession.
(10) Nothing in this section relieves an applicant, licensee, certificate holder, or registrant from the obligation to report adverse actions to the applicable regulator, as required by the applicable laws in this title 12 regulating that profession.
(11) The director may adopt rules, as necessary, to implement this section.
(12) This section is repealed, effective September 1, 2028. Before the repeal, the functions of the program under this section are scheduled for review in accordance with section 24-34-104.

C.R.S. § 12-30-102

Amended by 2023 Ch. 261,§ 25, eff. 5/25/2023.
Amended by 2022 Ch. 381, § 30, eff. 1/1/2023.
Amended by 2021 Ch. 111, § 2, eff. 9/1/2021.
Amended by 2020 Ch. 216, § 19, eff. 6/30/2020.
Amended by 2020 Ch. 157, § 37, eff. 7/1/2020.
Renumbered from C.R.S. §24-34-110 and amended by 2019 Ch. 136, § 1, eff. 10/1/2019.

This section is similar to former § 24-34-110 as it existed prior to 2019.

2022 Ch. 381, was passed without a safety clause. See Colo. Const. art. V, § 1(3).