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OIG Releases Online Self-Disclosure Form
July 16, 2013 | Blog | By Brian Dunphy
Individuals or entities who voluntarily disclose potential fraud to the Office of Inspector General for the Department of Health and Human Services (the OIG) under the Provider Self-Disclosure Protocol (SDP) may now submit their disclosure online using the OIG’s newly released Self-Disclosure Online Form.
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Hospitals Fight Back to Defend 340B Program Operations
July 11, 2013 | Blog | By Theresa Carnegie
Adhering to the axiom that the best defense is a good offense, SNHPA (Safety Net Hospitals for Pharmaceutical Access), an organization of close to 1000 hospitals participating in the 340B Drug Pricing Program, is attempting to defend its members’ 340B Program operations.
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Chinese Detain Pharmaceutical Company Managers in Economic Crime Probe
July 5, 2013 | Blog
This week, reports have arisen that Chinese authorities in the cities of Shanghai, Beijing, and Changsha detained high-level GlaxoSmithKline (GSK) managers as part of an investigation into potential "economic crimes."
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OIG Issues Favorable Advisory Opinion Regarding Tiered Rebate Program
July 2, 2013 | Blog | By Theresa Carnegie
Yesterday, the OIG issued a favorable advisory opinion regarding an ophthalmologic manufacturer’s (the "Requestor") tiered rebate program (the "Proposed Arrangement").
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Transforming Not-for-Profit Governance and Oversight in New York: The Nonprofit Revitalization Act and Executive Compensation Reform Act
July 2, 2013 | Advisory
The New York State Attorney General (AG) has teamed up with lawmakers to introduce two new bills that propose an overhaul of the Not-for-Profit Corporation Law (N-PCL), which has not seen significant change in more than 40 years.
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CMS Conducts Star Ratings Best Practices Webinar
June 26, 2013 | Blog | By Roy Albert
CMS hosted a webinar yesterday focusing on best practices for Medicare Advantage and Prescription Drug Plan Sponsors looking to enhance their Star Ratings.
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Increased Availability of Health Care Data Means More Oversight and More Litigation
June 25, 2013 | Blog | By Theresa Carnegie
The increasing availability of health care claims and payment data may portend the future of government and private health care enforcement and litigation.
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Court Rejects Urologists’ Appeal to Overturn Regulatory Changes to Stark Law
June 20, 2013 | Blog | By Theresa Carnegie
The Stark Law regulations are not without controversy, as an unsuccessful appeal by a group of urologists brought against the Centers for Medicare & Medicaid Services (CMS) illustrates.The Council for Urological Interests, a nonprofit association of physician-owned lithotripsy joint ventures, sought to overturn a 2008 CMS regulatory change to the Stark Law that made the urologists’ joint ventures illegal.
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Federal District Court Upholds Stark Regulation Ban on Physician-Owned Under Arrangement Service Providers
June 19, 2013 | Advisory
On May 24 the District Court for the District of Columbia rejected an appeal brought by a group of urologists (“CUI”) seeking to overturn regulations promulgated in 2008 by the Centers for Medicare & Medicaid Services (“CMS”) that prohibited physician-owned “under arrangement” service providers under the Stark Law (the “2008 Rule”).
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Texas Makes Changes to Medicaid Laws and Programs
June 19, 2013 | Blog | By Kimberly Gold
Texas Governor Rick Perry signed a series of bills into law last week modifying some of the state’s Medicaid statutes and programs. The laws will take effect on September 1, 2013.
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ML Strategies Posts Weekly Health Care Reform Update on June 17, 2013
June 17, 2013 | Blog | By Theresa Carnegie
ML Strategies has posted its weekly Health Care Reform Update. This publication provides timely information on implementation of the Affordable Care Act, and other state and federal administrative and legislative activities related to health care reform.
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First Circuit Rules First-Filed Complaint Need Not Satisfy Rule 9(b) to Bar Subsequent Qui Tam Actions
June 5, 2013 | Blog | By Karen Lovitch
To incentivize whistleblowers to bring false claims promptly to the government’s attention, the False Claims Act (FCA) includes a so-called “first-to-file rule" (31 U.S.C § 3730(b)(5)), which bars a person other than the government from “bring[ing] a related action based on the facts underlying” a pending action alleging violation of the FCA.
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Agencies Seek Comments to Inform Future Health IT Regulation
June 4, 2013 | Blog | By Kimberly Gold
As health information technology (HIT) advancements proliferate, so too must governing regulations.
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Is Data Mining Coming to a State Medicaid Fraud Control Unit Near You?
June 4, 2013 | Blog | By Theresa Carnegie
Starting June 17, state Medicaid Fraud Control Units (MFCUs) can use federal funding to pay for data mining, according to a final rule published by the Department of Health and Human Services Office of Inspector General in the Federal Register on May 17. This final rule reverses previous regulations that prohibited MFCUs from using federal matching funds for data mining.
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FDA Delivers Its First Mobile Medical App Inquiry
May 28, 2013 | Blog | By Karen Lovitch
The Food and Drug Administration has taken its first action against a mobile app maker for failure to obtain pre-marketing clearance. Late last week the FDA sent a letter to Biosense Technologies Private Limited, asking the company to either identify an FDA clearance for its uChek urine analyzer app or explain why it does not believe that FDA clearance is required.
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Highlights of the Joint NIST and OCR Safeguarding Health Information Conference
May 24, 2013 | Blog | By Dianne Bourque
Earlier this week we attended the National Institute of Standards and Technology (NIST) and HHS Office for Civil Rights (OCR) 6th Annual Safeguarding Health Information Conference in Washington, D.C. (the NIST-OCR Conference).
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CMS Issues Final MLR Rule for Medicare Advantage and Part D Programs
May 21, 2013 | Blog | By Roy Albert
Last week, CMS published a final rule implementing the ACA's medical loss ratio (“MLR”) requirements that will apply to the Medicare Advantage (Part C) and prescription drug (Part D) programs beginning in contract year 2014.
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How to Minimize FCPA Risk in Health Care Acquisitions
May 10, 2013 | Blog | By Karen Lovitch
When acquiring a health care company doing business abroad, there is no such thing as being too thorough with anti-corruption due diligence. The Department of Justice and the Securities and Exchange Commission have the health care industry on their radar screens for FCPA enforcement.
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Five Takeaways from the OIG’s Special Advisory Bulletin on Exclusion
May 10, 2013 | Advisory
This week the Office of Inspector General for the Department of Health and Human Services (“OIG”) issued an updated Special Advisory Bulletin on the Effect of Exclusion from Participation in Federal Health Care Programs, an update that was more than thirteen years in the making.
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Final Medical Marijuana Regulations Approved in Massachusetts
May 10, 2013 | Blog | By Kimberly Gold, Dianne Bourque, Daria Niewenhous
The Massachusetts Department of Public Health Public Health Council approved, by unanimous vote, final regulations for the implementation of the medical marijuana ballot initiative law that will allow qualifying patients with certain medical conditions to obtain and use marijuana for medicinal purposes.
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