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Mintz Advisory Analyzes the Upcoming Supreme Court Hearing in King v. Burwell
January 7, 2015 | Blog | By Lauren Moldawer, Andrew Shin, Stephen Weiner
  The Supreme Court announced it will be hearing King v. Burwell – a case which could determine the future scope and reach of the Affordable Care Act (ACA) – on March 4, 2015. 
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                      A Guide to New York's Nonprofit Revitalization Act
January 7, 2015 | Blog | By Theresa Carnegie
  The Nonprofit Revitalization Act brought sweeping changes to the laws that govern not-for-profit corporations in New York. Our colleagues Anthony E. Hubbard and Daniel E. Wilcox have authored an Advisory that provides an in-depth summary of key provisions of the Act that have recently gone into effect.
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                      States Doubling Down on Delivery and Payment Reform Efforts
December 22, 2014 | Blog
  Although health care reform implementation via the Affordable Care Act (ACA) has focused mostly on federal changes to the health care marketplace, individual States are getting some much needed help to design and implement their own efforts to improve quality and lower health system costs.
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                      Office for Human Research Protections Extends Comment Period for Draft Guidance
December 22, 2014 | Blog
  The Office for Human Research Protections (OHRP) is extending the comment period for its Draft Guidance on Disclosing Reasonably Foreseeable Risks in Research Evaluating Standards of Care (Draft Guidance).
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                      Registration Begins for American Telemedicine Association’s New Accreditation of Online Medical Services
December 19, 2014 | Blog
  The American Telemedicine Association (ATA) is now accepting limited registrations for organizations that wish to gain ATA’s seal of approval for online medical services.
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                      CMS Issues Rewards and Incentive Guidance to MA Plans
December 18, 2014 | Blog | By Bridgette Keller
  On December 4, 2014, CMS issued additional guidance regarding rewards and incentives programs (“RI Programs”). This guidance elaborates on whether an RI Program can target members with specific diseases, whether rewards can be tied to health outcomes, how to value rewards and incentives, and gives examples of appropriate and inappropriate rewards and incentives.
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                      FTC Centennial: How Health Care Antitrust Has Evolved
December 15, 2014 | Blog | By Dionne Lomax
  This year the Federal Trade Commission ("FTC") celebrated its centennial. Looking back on the FTC’s first 100 years, we have seen dramatic shifts in antitrust enforcement in the health care sector. 
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                      Provider Beware: HIPAA and State Privacy Laws May Inform Negligence Suits
December 9, 2014 | Blog
  A recent opinion from the Connecticut Supreme Court illustrates that HIPAA is not the only law that covered entities and business associates must worry about if an unauthorized disclosure of protected health information (PHI) happens on their watch.
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                      Mintz Advisory Analyzes Medicare Shared Savings Program Proposed Rule
December 9, 2014 | Blog | By Karen Lovitch
  On December 8th, the Centers for Medicare & Medicaid Services published its proposal for long-awaited changes to the Medicare Shared Savings Program (MSSP).  Our colleagues Daria Niewenhous, Andrew Shin, Lauren Moldawer *, and Stephanie Willis have authored an Advisory that provides an in-depth analysis of key provisions of the proposed changes and how they may impact current and future MSSP accountable care organizations created under the authority of the Affordable Care Act.
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                      HIPAA Settlement Continues to Emphasize the Importance of Security Policies and Procedures
December 9, 2014 | Blog
  A recently announced settlement between Anchorage Community Mental Health (“ACMHS”) and the U.S. Department of Health & Human Services Office for Civil Rights (“OCR”) emphasizes, once again, the importance of compliance with the Security Rule and keeping IT infrastructure up to date.
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                      After the Deal, is it Still Business as Usual?
December 8, 2014 | Blog | By Dionne Lomax
  According to Federal Trade Commission Chairwoman Edith Ramirez, the healthcare sector will “remain a top agency priority.”  Thus, the FTC will undoubtedly continue to closely analyze combinations of providers in the industry. 
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                      Federal Judge Awards Attorneys’ Fees to Defendant in Dismissed Qui Tam Case, Calls Whistleblower a “Serial Relator”
December 5, 2014 | Blog | By Samantha Kingsbury
  In November 2013 and this past October, Mintz Levin’s Health Care Qui Tam Update highlighted three separate qui tam False Claims Act (FCA) cases filed by Fox RX, Inc. (Fox), a former Medicare Part D plan sponsor. 
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                      GPO Fees Under Scrutiny by the GAO
December 4, 2014 | Blog | By Karen Lovitch
  Last week, the Government Accountability Office (GAO) released a report examining group purchasing organization (GPO) practices. 
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                      Illinois Legislature Passes Anti-Markup Law Applicable to Pathology Services
December 4, 2014 | Blog | By Karen Lovitch
  Yesterday both chambers of the Illinois legislature voted to override the Governor's amendatory veto and passed Public Act 098-1127, which prohibits a physician from charging a markup on anatomic pathology services if the physician orders but does not supervise or perform the service.
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                      New Jersey Court Supports Peer Review Immunity for Hospital
December 2, 2014 | Blog | By Theresa Carnegie
  On November 24, 2014, the New Jersey Appellate Division affirmed a lower court’s decision to dismiss a physician’s lawsuit against a hospital based on federal and state statutory immunity provisions that shield hospitals and their peer review participants from monetary damages.
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                      Health Care Enforcement Defense Practice Publishes Most Recent Qui Tam Update
November 26, 2014 | Blog
  Our Health Care Enforcement Defense Practice has published its most recent Qui Tam Update analyzing 68 recently unsealed health care related whistleblower cases. In this issue, the team analyzes overall trends in the 68 cases, and looks more closely at three notable cases. 
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                      No Private Right to Recoup Funds Based on Corporate Practice of Medicine Violation
November 24, 2014 | Blog
  The United States District Court for the Western District of Washington ruled recently that the state’s corporate practice of medicine doctrine does not provide a private right of action, either express or implied, and dismissed claims brought by State Farm Mutual Automobile Insurance Company and State Farm Fire and Casualty Company. 
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                      Hospital Executive Pleads Guilty to False Meaningful Use Attestation for EHR Incentive Payments
November 21, 2014 | Blog
  The former CFO of Shelby Regional Medical Center, Joe White, pleaded guilty to knowingly making a false statement related to the hospital’s meaningful use of electronic health records (“EHR”).
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                      Strategies for Efficiently Obtaining Antitrust Clearance
November 20, 2014 | Blog | By Dionne Lomax
  The health care industry remains an enforcement priority for the Federal Trade Commission ("FTC"). In a recent interview, the Director of the FTC’s Bureau of Competition, Debbie Feinstein, stated that the Bureau’s top three priorities for health care antitrust enforcement.
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                      Vascular Solutions Inc. and its CEO Face Criminal Charges for Selling Unapproved Medical Devices
November 20, 2014 | Blog | By Samantha Kingsbury
  Last week, the Civil Division of the U.S. Department of Justice (DOJ) filed an indictment charging Vascular Solutions Inc. (VSI) and its CEO Howard Root with (1) selling medical devices without the approval of the U.S. Food and Drug Administration (FDA); and (2) conspiring to defraud the U.S. government by concealing their illegal activities.
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