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| | 104TH GENERAL ASSEMBLY
State of Illinois
2025 and 2026 SB3118 Introduced 2/2/2026, by Sen. Javier L. Cervantes SYNOPSIS AS INTRODUCED: | | | Amends the Community Living Facilities Licensing Act, the MC/DD Act, the ID/DD Community Care Act, the Community-Integrated Living Arrangements Licensure and Certification Act, and the Child Care Act of 1969. Requires the State agencies responsible for licensing facilities under those Acts to adopt, by December 31, 2026, rules requiring a facility to disclose upon initial application for licensure and on a quarterly basis thereafter, whether the facility, its subsidiaries, affiliates, parent companies, or contractual service providers are owned, managed, or contained within a fund owned or managed by an asset management company; and if so, to make certain disclosures about the asset management company's assets, the facility's debt, and other matters. Requires the State agencies to also adopt rules requiring such a facility to provide written notice of transactions and copies of agreements which would (i) sell or otherwise dispose of a material amount of the facility's assets or (ii) transfer control, responsibility, or governance of a material amount of the facility's assets or operations. Prohibits facilities owned or managed by an asset management company from engaging in certain transactions or actions that would result in the facility issuing debt-funded dividends or perform any other similar action causing the facility to become financially distressed. Provides that a violation of these requirements and prohibitions constitutes an unlawful practice within the meaning of the Consumer Fraud and Deceptive Business Practices Act. Requires the State agencies to publish disclosures, written notices, and copies of agreements submitted by facilities on the agencies' public websites. Imposes similar requirements and prohibitions on adult day service providers serving individuals with developmental disabilities under the Illinois Act on the Aging and providers of adult developmental training services under the Mental Health and Developmental Disabilities Administrative Act. Effective immediately. |
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| | A BILL FOR |
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| 1 | | AN ACT concerning regulation. |
| 2 | | Be it enacted by the People of the State of Illinois, |
| 3 | | represented in the General Assembly: |
| 4 | | Section 5. The Illinois Act on the Aging is amended by |
| 5 | | adding Sections 3.14 and 4.02i as follows: |
| 6 | | (20 ILCS 105/3.14 new) |
| 7 | | Sec. 3.14. Asset management company. "Asset management |
| 8 | | company" means any business primarily engaged in managing and |
| 9 | | investing client funds in assets including, but not limited |
| 10 | | to, securities, equities, stocks, bonds, real estate, |
| 11 | | investment funds, mutual funds, exchange-traded funds, hedge |
| 12 | | funds, private equity funds, and venture capital. |
| 13 | | (20 ILCS 105/4.02i new) |
| 14 | | Sec. 4.02i. Adult day services; disclosure, anti-looting, |
| 15 | | and consumer protections. |
| 16 | | (a)(1) By December 31, 2026, the Department shall adopt |
| 17 | | rules requiring adult day service providers serving |
| 18 | | individuals with developmental disabilities to disclose, upon |
| 19 | | initial application for certification and on a quarterly basis |
| 20 | | thereafter, whether the provider, its subsidiaries, |
| 21 | | affiliates, parent companies, or contractual service providers |
| 22 | | are owned, managed, or contained within a fund owned or |
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| 1 | | managed by an asset management company. Such providers shall |
| 2 | | be required to disclose, on forms prescribed by the |
| 3 | | Department, the size of the asset management company's assets |
| 4 | | under management; individuals and institutions with interests |
| 5 | | in the provider, its subsidiaries, affiliates, parent |
| 6 | | companies, contractual service providers, and the fund |
| 7 | | containing the same; debt held by the provider, its |
| 8 | | subsidiaries, affiliates, parent companies, contractual |
| 9 | | service providers, and the fund containing the same; fees and |
| 10 | | payments, and rates for the same, collected by the asset |
| 11 | | management company, its subsidiaries, affiliates, parent |
| 12 | | companies, partners, contractual service providers for goods |
| 13 | | or services provided to the provider, its subsidiaries, |
| 14 | | affiliates, parent companies, contractual service providers, |
| 15 | | and the fund containing the same; the number of full-time and |
| 16 | | part-time employees and contractors, grouped by job |
| 17 | | classification, employed or under contract with the provider, |
| 18 | | its subsidiaries, affiliates, parent companies, contractual |
| 19 | | service providers and, where applicable, labor organizations |
| 20 | | representing the same. |
| 21 | | (2) The Department shall also adopt rules requiring |
| 22 | | providers to provide the Department with written notice of |
| 23 | | transactions, and copies of agreements, which would (i) sell, |
| 24 | | transfer, lease, exchange, option, encumber, convey, or |
| 25 | | otherwise dispose of a material amount of the assets of the |
| 26 | | provider, its subsidiaries, affiliates, parent companies, or |
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| 1 | | contractual service providers, to one or more entities or (ii) |
| 2 | | transfer control, responsibility, or governance of a material |
| 3 | | amount of the assets or operations of the provider, its |
| 4 | | subsidiaries, affiliates, parent companies, or contractual |
| 5 | | service providers, to one or more entities. Written notice and |
| 6 | | copies of agreements required under this paragraph shall be |
| 7 | | provided not less than 90 days prior to entering into the |
| 8 | | agreement or transaction. |
| 9 | | (b)(1) A provider owned, managed, or contained within a |
| 10 | | fund owned or managed by an asset management company, its |
| 11 | | parent companies, or an asset management company which owns or |
| 12 | | manages the provider, its subsidiaries, affiliated entities, |
| 13 | | parent companies, contractual service providers, or a fund |
| 14 | | containing the same, shall not engage in a transaction |
| 15 | | involving the provider, its subsidiaries, affiliated entities, |
| 16 | | parent companies, contractual service providers, or the fund |
| 17 | | containing the same, if the transaction has a reasonable |
| 18 | | likelihood of causing or materially contributing to the |
| 19 | | financial distress of the provider, its subsidiaries, |
| 20 | | affiliated entities, parent companies, or contractual service |
| 21 | | providers, due to placing an excessively high level of debt on |
| 22 | | the same. |
| 23 | | (2) A provider owned, managed, or contained within a fund |
| 24 | | owned or managed by an asset management company, its parent |
| 25 | | companies, or an asset management company which owns or |
| 26 | | manages the provider, its subsidiaries, affiliated entities, |
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| 1 | | parent companies, contractual service providers, or a fund |
| 2 | | containing the same, shall not cause or otherwise take actions |
| 3 | | that would result in the provider, its subsidiaries, |
| 4 | | affiliated entities, parent companies, contractual service |
| 5 | | providers, or the fund containing the same (i) issuing |
| 6 | | debt-funded dividends, (ii) paying management fees or similar |
| 7 | | fees or costs, (iii) issuing dividends at a time or in an |
| 8 | | amount, or perform any other action or exceed any other |
| 9 | | metric, where such actions have a reasonable likelihood of |
| 10 | | causing the provider, its subsidiaries, affiliated entities, |
| 11 | | parent companies, or contractual service providers to become |
| 12 | | financially distressed. |
| 13 | | (c) A violation of this Section constitutes an unlawful |
| 14 | | practice within the meaning of the Consumer Fraud and |
| 15 | | Deceptive Business Practices Act. Upon becoming aware of a |
| 16 | | violation, the Department shall notify the Attorney General |
| 17 | | and any labor organization representing workers who work or |
| 18 | | worked for the provider, its subsidiaries, affiliates, parent |
| 19 | | companies, or contractual service providers or in the |
| 20 | | facilities of the same. The Attorney General may take action |
| 21 | | under the Consumer Fraud and Deceptive Business Practices Act, |
| 22 | | or any other law, to remedy violations of this Section. Labor |
| 23 | | organizations representing workers who work or worked for the |
| 24 | | provider, its subsidiaries, affiliated entities, parent |
| 25 | | companies, or contractual service providers, or in the |
| 26 | | facilities of the same, shall be entitled to the same rights to |
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| 1 | | action afforded to individuals under the Consumer Fraud and |
| 2 | | Deceptive Business Practices Act. The Department shall also |
| 3 | | require violators of this Section to prominently display a |
| 4 | | notice detailing the violation in a form, location, and for a |
| 5 | | duration prescribed by the Department. |
| 6 | | (d) The Department shall publish disclosures, written |
| 7 | | notices, and copies of agreements submitted in accordance with |
| 8 | | this Section, upon receipt, and notices of violations issued |
| 9 | | under this Section, upon determination, on its website, for |
| 10 | | public viewing. |
| 11 | | Section 10. The Mental Health and Developmental |
| 12 | | Disabilities Administrative Act is amended by changing Section |
| 13 | | 2 and by adding Sections 15.2a and 68a as follows: |
| 14 | | (20 ILCS 1705/2) (from Ch. 91 1/2, par. 100-2) |
| 15 | | Sec. 2. Definitions; administrative subdivisions. |
| 16 | | (a) For the purposes of this Act, unless the context |
| 17 | | otherwise requires: |
| 18 | | "Asset management company" means any business primarily |
| 19 | | engaged in managing and investing client funds in assets |
| 20 | | including, but not limited to, securities, equities, stocks, |
| 21 | | bonds, real estate, investment funds, mutual funds, |
| 22 | | exchange-traded funds, hedge funds, private equity funds, and |
| 23 | | venture capital. |
| 24 | | "Department" means the Department of Human Services, |
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| 1 | | successor to the former Department of Mental Health and |
| 2 | | Developmental Disabilities. |
| 3 | | "Developmental disability" means "developmental |
| 4 | | disability" as defined in Section 1-106 of the Mental Health |
| 5 | | and Developmental Disabilities Code. |
| 6 | | "Intellectual disability" means the "intellectual |
| 7 | | disability" as defined in Section 1-116 of the Mental Health |
| 8 | | and Developmental Disabilities Code. |
| 9 | | "Secretary" means the Secretary of Human Services. |
| 10 | | (b) Unless the context otherwise requires: |
| 11 | | (1) References in this Act to the programs or |
| 12 | | facilities of the Department shall be construed to refer |
| 13 | | only to those programs or facilities of the Department |
| 14 | | that pertain to mental health or developmental |
| 15 | | disabilities. |
| 16 | | (2) References in this Act to the Department's service |
| 17 | | providers or service recipients shall be construed to |
| 18 | | refer only to providers or recipients of services that |
| 19 | | pertain to the Department's mental health and |
| 20 | | developmental disabilities functions. |
| 21 | | (3) References in this Act to employees of the |
| 22 | | Department shall be construed to refer only to employees |
| 23 | | whose duties pertain to the Department's mental health and |
| 24 | | developmental disabilities functions. |
| 25 | | (c) The Secretary shall establish such subdivisions of the |
| 26 | | Department as shall be desirable and shall assign to the |
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| 1 | | various subdivisions the responsibilities and duties placed |
| 2 | | upon the Department by the Laws of the State of Illinois. |
| 3 | | (d) There is established a coordinator of services to deaf |
| 4 | | and hearing impaired persons with mental disabilities. In |
| 5 | | hiring this coordinator, every consideration shall be given to |
| 6 | | qualified deaf or hearing impaired individuals. |
| 7 | | (e) Whenever the administrative director of the |
| 8 | | subdivision for mental health services is not a |
| 9 | | board-certified psychiatrist, the Secretary shall appoint a |
| 10 | | Chief for Clinical Services who shall be a board-certified |
| 11 | | psychiatrist with both clinical and administrative experience. |
| 12 | | The Chief for Clinical Services shall be responsible for all |
| 13 | | clinical and medical decisions for mental health services. |
| 14 | | (Source: P.A. 102-972, eff. 1-1-23.) |
| 15 | | (20 ILCS 1705/15.2a new) |
| 16 | | Sec. 15.2a. Adult developmental training services; |
| 17 | | disclosure, anti-looting, and consumer protections. |
| 18 | | (a)(1) By December 31, 2026, the Department shall adopt |
| 19 | | rules requiring providers of adult developmental training |
| 20 | | services to disclose, both upon initial application for |
| 21 | | certification and on a quarterly basis thereafter, whether the |
| 22 | | provider, its subsidiaries, affiliates, parent companies, or |
| 23 | | contractual service providers are owned, managed, or contained |
| 24 | | within a fund owned or managed by an asset management company. |
| 25 | | Such providers shall be required to disclose, on forms |
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| 1 | | prescribed by the Department, the size of the asset management |
| 2 | | company's assets under management; individuals and |
| 3 | | institutions with interests in the provider, its subsidiaries, |
| 4 | | affiliates, parent companies, contractual service providers, |
| 5 | | and the fund containing the same; debt held by the provider, |
| 6 | | its subsidiaries, affiliates, parent companies, contractual |
| 7 | | service providers, and the fund containing the same; fees and |
| 8 | | payments, and rates for the same, collected by the asset |
| 9 | | management company, its subsidiaries, affiliates, parent |
| 10 | | companies, partners, contractual service providers for goods |
| 11 | | or services provided to the provider, its subsidiaries, |
| 12 | | affiliates, parent companies, contractual service providers, |
| 13 | | and the fund containing the same; the number of full-time and |
| 14 | | part-time employees and contractors, grouped by job |
| 15 | | classification, employed or under contract with the provider, |
| 16 | | its subsidiaries, affiliates, parent companies, contractual |
| 17 | | service providers and, where applicable, labor organizations |
| 18 | | representing the same. |
| 19 | | (2) The Department shall also adopt rules requiring |
| 20 | | providers to provide the Department with written notice of |
| 21 | | transactions, and copies of agreements, which would (i) sell, |
| 22 | | transfer, lease, exchange, option, encumber, convey, or |
| 23 | | otherwise dispose of a material amount of the assets of the |
| 24 | | provider, its subsidiaries, affiliates, parent companies, or |
| 25 | | contractual service providers, to one or more entities or (ii) |
| 26 | | transfer control, responsibility, or governance of a material |
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| 1 | | amount of the assets or operations of the provider, its |
| 2 | | subsidiaries, affiliates, parent companies, or contractual |
| 3 | | service providers, to one or more entities. Written notice and |
| 4 | | copies of agreements required under this paragraph shall be |
| 5 | | provided not less than 90 days prior to entering into the |
| 6 | | agreement or transaction. |
| 7 | | (b)(1) A provider owned, managed, or contained within a |
| 8 | | fund owned or managed by an asset management company, its |
| 9 | | parent companies, or an asset management company which owns or |
| 10 | | manages the provider, its subsidiaries, affiliated entities, |
| 11 | | parent companies, contractual service providers, or a fund |
| 12 | | containing the same, shall not engage in a transaction |
| 13 | | involving the provider, its subsidiaries, affiliated entities, |
| 14 | | parent companies, contractual service providers, or the fund |
| 15 | | containing the same, if the transaction has a reasonable |
| 16 | | likelihood of causing or materially contributing to the |
| 17 | | financial distress of the provider, its subsidiaries, |
| 18 | | affiliated entities, parent companies, or contractual service |
| 19 | | providers, due to placing an excessively high level of debt on |
| 20 | | the same. |
| 21 | | (2) A provider owned, managed, or contained within a fund |
| 22 | | owned or managed by an asset management company, its parent |
| 23 | | companies, or an asset management company which owns or |
| 24 | | manages the provider, its subsidiaries, affiliated entities, |
| 25 | | parent companies, contractual service providers, or a fund |
| 26 | | containing the same, shall not cause or otherwise take actions |
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| 1 | | that would result in the provider, its subsidiaries, |
| 2 | | affiliated entities, parent companies, contractual service |
| 3 | | providers, or the fund containing the same (i) issuing |
| 4 | | debt-funded dividends, (ii) paying management fees or similar |
| 5 | | fees or costs, (iii) issuing dividends at a time or in an |
| 6 | | amount, or perform any other action or exceed any other |
| 7 | | metric, where such actions have a reasonable likelihood of |
| 8 | | causing the provider, its subsidiaries, affiliated entities, |
| 9 | | parent companies, or contractual service providers to become |
| 10 | | financially distressed. |
| 11 | | (c) A violation of this Section constitutes an unlawful |
| 12 | | practice within the meaning of the Consumer Fraud and |
| 13 | | Deceptive Business Practices Act. Upon becoming aware of a |
| 14 | | violation, the Department shall notify the Attorney General |
| 15 | | and any labor organization representing workers who work or |
| 16 | | worked for the provider, its subsidiaries, affiliates, parent |
| 17 | | companies, or contractual service providers or in the |
| 18 | | facilities of the same. The Attorney General may take action |
| 19 | | under the Consumer Fraud and Deceptive Business Practices Act, |
| 20 | | or any other law, to remedy violations of this Section. Labor |
| 21 | | organizations representing workers who work or worked for the |
| 22 | | provider, its subsidiaries, affiliated entities, parent |
| 23 | | companies, or contractual service providers, or in the |
| 24 | | facilities of the same, shall be entitled to the same rights to |
| 25 | | action afforded to individuals under the Consumer Fraud and |
| 26 | | Deceptive Business Practices Act. The Department shall also |
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| 1 | | require violators of this Section to prominently display a |
| 2 | | notice detailing the violation in a form, location, and for a |
| 3 | | duration prescribed by the Department. |
| 4 | | (d) The Department shall publish disclosures, written |
| 5 | | notices, and copies of agreements submitted in accordance with |
| 6 | | this Section, upon receipt, and notices of violations issued |
| 7 | | under this Section, upon determination, on its website, for |
| 8 | | public viewing. |
| 9 | | (20 ILCS 1705/68a new) |
| 10 | | Sec. 68a. Supported employment services; disclosure, |
| 11 | | anti-looting, and consumer protections. |
| 12 | | (a)(1) By December 31, 2026, the Department shall adopt |
| 13 | | rules requiring supported employment providers to disclose, |
| 14 | | both upon initial application for enrollment and on a |
| 15 | | quarterly basis thereafter, whether the provider, its |
| 16 | | subsidiaries, affiliates, parent companies, or contractual |
| 17 | | service providers are owned, managed, or contained within a |
| 18 | | fund owned or managed by an asset management company. Such |
| 19 | | providers shall be required to disclose, on forms prescribed |
| 20 | | by the Department, the size of the asset management company's |
| 21 | | assets under management; individuals and institutions with |
| 22 | | interests in the provider, its subsidiaries, affiliates, |
| 23 | | parent companies, contractual service providers, and the fund |
| 24 | | containing the same; debt held by the provider, its |
| 25 | | subsidiaries, affiliates, parent companies, contractual |
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| 1 | | service providers, and the fund containing the same; fees and |
| 2 | | payments, and rates for the same, collected by the asset |
| 3 | | management company, its subsidiaries, affiliates, parent |
| 4 | | companies, partners, contractual service providers for goods |
| 5 | | or services provided to the provider, its subsidiaries, |
| 6 | | affiliates, parent companies, contractual service providers, |
| 7 | | and the fund containing the same; the number of full-time and |
| 8 | | part-time employees and contractors, grouped by job |
| 9 | | classification, employed or under contract with the provider, |
| 10 | | its subsidiaries, affiliates, parent companies, contractual |
| 11 | | service providers and, where applicable, labor organizations |
| 12 | | representing the same. |
| 13 | | (2) The Department shall also adopt rules requiring |
| 14 | | providers to provide the Department with written notice of |
| 15 | | transactions, and copies of agreements, which would (i) sell, |
| 16 | | transfer, lease, exchange, option, encumber, convey, or |
| 17 | | otherwise dispose of a material amount of the assets of the |
| 18 | | provider, its subsidiaries, affiliates, parent companies, or |
| 19 | | contractual service providers, to one or more entities or (ii) |
| 20 | | transfer control, responsibility, or governance of a material |
| 21 | | amount of the assets or operations of the provider, its |
| 22 | | subsidiaries, affiliates, parent companies, or contractual |
| 23 | | service providers, to one or more entities. Written notice and |
| 24 | | copies of agreements required under this paragraph shall be |
| 25 | | provided not less than 90 days prior to entering into the |
| 26 | | agreement or transaction. |
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| 1 | | (b)(1) A provider owned, managed, or contained within a |
| 2 | | fund owned or managed by an asset management company, its |
| 3 | | parent companies, or an asset management company which owns or |
| 4 | | manages the provider, its subsidiaries, affiliated entities, |
| 5 | | parent companies, contractual service providers, or a fund |
| 6 | | containing the same, shall not engage in a transaction |
| 7 | | involving the provider, its subsidiaries, affiliated entities, |
| 8 | | parent companies, contractual service providers, or the fund |
| 9 | | containing the same, if the transaction has a reasonable |
| 10 | | likelihood of causing or materially contributing to the |
| 11 | | financial distress of the provider, its subsidiaries, |
| 12 | | affiliated entities, parent companies, or contractual service |
| 13 | | providers, due to placing an excessively high level of debt on |
| 14 | | the same. |
| 15 | | (2) A provider owned, managed, or contained within a fund |
| 16 | | owned or managed by an asset management company, its parent |
| 17 | | companies, or an asset management company which owns or |
| 18 | | manages the provider, its subsidiaries, affiliated entities, |
| 19 | | parent companies, contractual service providers, or a fund |
| 20 | | containing the same, shall not cause or otherwise take actions |
| 21 | | that would result in the provider, its subsidiaries, |
| 22 | | affiliated entities, parent companies, contractual service |
| 23 | | providers, or the fund containing the same (i) issuing |
| 24 | | debt-funded dividends, (ii) paying management fees or similar |
| 25 | | fees or costs, (iii) issuing dividends at a time or in an |
| 26 | | amount, or perform any other action or exceed any other |
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| 1 | | metric, where such actions have a reasonable likelihood of |
| 2 | | causing the provider, its subsidiaries, affiliated entities, |
| 3 | | parent companies, or contractual service providers to become |
| 4 | | financially distressed. |
| 5 | | (c) A violation of this Section constitutes an unlawful |
| 6 | | practice within the meaning of the Consumer Fraud and |
| 7 | | Deceptive Business Practices Act. Upon becoming aware of a |
| 8 | | violation, the Department shall notify the Attorney General |
| 9 | | and any labor organization representing workers who work or |
| 10 | | worked for the provider, its subsidiaries, affiliates, parent |
| 11 | | companies, or contractual service providers or in the |
| 12 | | facilities of the same. The Attorney General may take action |
| 13 | | under the Consumer Fraud and Deceptive Business Practices Act, |
| 14 | | or any other law, to remedy violations of this Section. Labor |
| 15 | | organizations representing workers who work or worked for the |
| 16 | | provider, its subsidiaries, affiliated entities, parent |
| 17 | | companies, or contractual service providers, or in the |
| 18 | | facilities of the same, shall be entitled to the same rights to |
| 19 | | action afforded to individuals under the Consumer Fraud and |
| 20 | | Deceptive Business Practices Act. The Department shall also |
| 21 | | require violators of this Section to prominently display a |
| 22 | | notice detailing the violation in a form, location, and for a |
| 23 | | duration prescribed by the Department. |
| 24 | | (d) The Department shall publish disclosures, written |
| 25 | | notices, and copies of agreements submitted in accordance with |
| 26 | | this Section, upon receipt, and notices of violations issued |
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| 1 | | under this Section, upon determination, on its website, for |
| 2 | | public viewing. |
| 3 | | Section 15. The Community Living Facilities Licensing Act |
| 4 | | is amended by changing Section 3 and by adding Section 19 as |
| 5 | | follows: |
| 6 | | (210 ILCS 35/3) (from Ch. 111 1/2, par. 4183) |
| 7 | | Sec. 3. Definitions. As used in this Act, unless the |
| 8 | | context otherwise requires, the terms defined in this Section |
| 9 | | have the meanings ascribed to them herein. |
| 10 | | (1) "Adult" means a person 18 years of age or older. |
| 11 | | (2) "Applicant" means any person, agency, association, |
| 12 | | corporation, partnership, or organization making application |
| 13 | | for a license. |
| 14 | | (3) "Appropriate programming" means programming which |
| 15 | | meets each resident's individual needs commensurate with his |
| 16 | | functioning level. |
| 17 | | (3-5) "Asset management company" means any business |
| 18 | | primarily engaged in managing and investing client funds in |
| 19 | | assets including, but not limited to, securities, equities, |
| 20 | | stocks, bonds, real estate, investment funds, mutual funds, |
| 21 | | exchange-traded funds, hedge funds, private equity funds, and |
| 22 | | venture capital. |
| 23 | | (4) "Community Living Facility" means a transitional |
| 24 | | residential setting which provides guidance, supervision, |
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| 1 | | training and other assistance to ambulatory or mobile adults |
| 2 | | with a mild or moderate developmental disability with the goal |
| 3 | | of eventually moving these persons to more independent living |
| 4 | | arrangements. Residents are required to participate in day |
| 5 | | activities, such as vocational training, sheltered workshops |
| 6 | | or regular employment. A Community Living Facility shall not |
| 7 | | be a nursing or medical facility and shall house no more than |
| 8 | | 20 residents, excluding staff. |
| 9 | | (5) "Department" means the Department of Public Health. |
| 10 | | (6) "Director" means the Director of the Department of |
| 11 | | Public Health. |
| 12 | | (7) "Habilitation plan" means a written plan as defined in |
| 13 | | the "Mental Health and Developmental Disabilities Code of |
| 14 | | 1979", as now or hereafter amended. |
| 15 | | (8) "License" means any of the following types of licenses |
| 16 | | issued to an applicant or licensee by the Department: |
| 17 | | (a) "Probationary license" means a license issued to |
| 18 | | an applicant or licensee which has not held a license |
| 19 | | contiguous to its application. |
| 20 | | (b) "Regular license" means a license issued to an |
| 21 | | applicant or licensee which is in substantial compliance |
| 22 | | with this Act and any rules and regulations promulgated |
| 23 | | hereunder. |
| 24 | | (9) "Licensee" means a person, agency, association, |
| 25 | | corporation, partnership, or organization which has been |
| 26 | | issued a license to operate a Community Living Facility. |
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| 1 | | (10) "Owner" means the individual, partnership, |
| 2 | | corporation, association or other person who owns a Community |
| 3 | | Living Facility. In the event a Community Living Facility is |
| 4 | | operated by a person who leases the physical plant, which is |
| 5 | | owned by another person, "owner" means the person who operates |
| 6 | | the Community Living Facility, except that if the person who |
| 7 | | owns the physical plant is an affiliate of the person who |
| 8 | | operates the Community Living Facility and has significant |
| 9 | | control over the day-to-day operations of the Community Living |
| 10 | | Facility, the person who owns the physical plant shall incur |
| 11 | | jointly and severally with the owner all liabilities imposed |
| 12 | | on an owner under this Act. |
| 13 | | (11) "Plan of correction" means a written plan submitted |
| 14 | | to the Department for violation of this Act or of rules |
| 15 | | promulgated hereunder which are cited by the Department. The |
| 16 | | plan shall describe the steps that will be taken in order to |
| 17 | | bring the Community Living Facility into compliance and the |
| 18 | | time-frame for completion of each step. |
| 19 | | (12) "Qualified surveyor" means any individual or any |
| 20 | | governmental agency designated by the Department to survey |
| 21 | | Community Living Facilities for compliance with this Act and |
| 22 | | the rules and regulations promulgated under this Act. |
| 23 | | (13) "Resident" means a person residing in a Community |
| 24 | | Living Facility pursuant to this Act. |
| 25 | | (14) "Support services" means those services provided to |
| 26 | | residents in order to facilitate their integration into the |
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| 1 | | community and to improve their level of functioning, |
| 2 | | independence and self-respect. |
| 3 | | (Source: P.A. 88-380.) |
| 4 | | (210 ILCS 35/19 new) |
| 5 | | Sec. 19. Community Living Facilities; disclosure, |
| 6 | | anti-looting, and consumer protections. |
| 7 | | (a)(1) By December 31, 2026, the Department shall adopt |
| 8 | | rules requiring Community Living Facilities to disclose, both |
| 9 | | upon initial application for licensure and on a quarterly |
| 10 | | basis thereafter, whether the facility, its subsidiaries, |
| 11 | | affiliates, parent companies, or contractual service providers |
| 12 | | are owned, managed, or contained within a fund owned or |
| 13 | | managed by an asset management company. Such facilities shall |
| 14 | | be required to disclose, both upon initial application for |
| 15 | | licensure and on a quarterly basis thereafter, the size of the |
| 16 | | asset management company's assets under management; |
| 17 | | individuals and institutions with interests in the facilities, |
| 18 | | its subsidiaries, affiliates, parent companies, contractual |
| 19 | | service providers, and the fund containing the same; debt held |
| 20 | | by the facility, its subsidiaries, affiliates, parent |
| 21 | | companies, contractual service providers, and the fund |
| 22 | | containing the same; fees and payments, and rates for the |
| 23 | | same, collected by the asset management company, its |
| 24 | | subsidiaries, affiliates, parent companies, partners, |
| 25 | | contractual service providers for goods or services provided |
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| 1 | | to the facility, its subsidiaries, affiliates, parent |
| 2 | | companies, contractual service providers, and the fund |
| 3 | | containing the same; the number of full-time and part-time |
| 4 | | employees and contractors, grouped by job classification, |
| 5 | | employed or under contract with the facility, its |
| 6 | | subsidiaries, affiliates, parent companies, contractual |
| 7 | | service providers and, where applicable, labor organizations |
| 8 | | representing the same. |
| 9 | | (2) The Department shall also adopt rules requiring |
| 10 | | facilities to provide the Department with written notice of |
| 11 | | transactions, and copies of agreements, which would (i) sell, |
| 12 | | transfer, lease, exchange, option, encumber, convey, or |
| 13 | | otherwise dispose of a material amount of the assets of the |
| 14 | | facility, its subsidiaries, affiliates, parent companies, or |
| 15 | | contractual service providers, to one or more entities or (ii) |
| 16 | | transfer control, responsibility, or governance of a material |
| 17 | | amount of the assets or operations of the facility, its |
| 18 | | subsidiaries, affiliates, parent companies, or contractual |
| 19 | | service providers, to one or more entities. Written notice and |
| 20 | | copies of agreements required under this paragraph shall be |
| 21 | | provided not less than 90 days prior to entering into the |
| 22 | | agreement or transaction. |
| 23 | | (b)(1) A facility owned, managed, or contained within a |
| 24 | | fund owned or managed by an asset management company, its |
| 25 | | parent companies, or an asset management company which owns or |
| 26 | | manages the facility, its subsidiaries, affiliated entities, |
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| 1 | | parent companies, contractual service providers, or a fund |
| 2 | | containing the same, shall not engage in a transaction |
| 3 | | involving the facility, its subsidiaries, affiliated entities, |
| 4 | | parent companies, contractual service providers, or the fund |
| 5 | | containing the same, if the transaction has a reasonable |
| 6 | | likelihood of causing or materially contributing to the |
| 7 | | financial distress of the facility, its subsidiaries, |
| 8 | | affiliated entities, parent companies, or contractual service |
| 9 | | providers, due to placing an excessively high level of debt on |
| 10 | | the same. |
| 11 | | (2) A facility owned, managed, or contained within a fund |
| 12 | | owned or managed by an asset management company, its parent |
| 13 | | companies, or an asset management company which owns or |
| 14 | | manages the facility, its subsidiaries, affiliated entities, |
| 15 | | parent companies, contractual service providers, or a fund |
| 16 | | containing the same, shall not cause or otherwise take actions |
| 17 | | that would result in the facility, its subsidiaries, |
| 18 | | affiliated entities, parent companies, contractual service |
| 19 | | providers, or the fund containing the same (i) issuing |
| 20 | | debt-funded dividends, (ii) paying management fees or similar |
| 21 | | fees or costs, (iii) issuing dividends at a time or in an |
| 22 | | amount, or perform any other action or exceed any other |
| 23 | | metric, where such actions have a reasonable likelihood of |
| 24 | | causing the facility, its subsidiaries, affiliated entities, |
| 25 | | parent companies, or contractual service providers to become |
| 26 | | financially distressed. |
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| 1 | | (c) A violation of this Section constitutes an unlawful |
| 2 | | practice within the meaning of the Consumer Fraud and |
| 3 | | Deceptive Business Practices Act. Upon becoming aware of a |
| 4 | | violation, the Department shall notify the Attorney General |
| 5 | | and any labor organization representing workers who work or |
| 6 | | worked for the facility, its subsidiaries, affiliates, parent |
| 7 | | companies, or contractual service providers or in the |
| 8 | | facilities of the same. The Attorney General may take action |
| 9 | | under the Consumer Fraud and Deceptive Business Practices Act, |
| 10 | | or any other law, to remedy violations of this Section. Labor |
| 11 | | organizations representing workers who work or worked for the |
| 12 | | facility, its subsidiaries, affiliated entities, parent |
| 13 | | companies, or contractual service providers, or in the |
| 14 | | facilities of the same, shall be entitled to the same rights to |
| 15 | | action afforded to individuals under the Consumer Fraud and |
| 16 | | Deceptive Business Practices Act. The Department shall also |
| 17 | | require violators of this Section to prominently display a |
| 18 | | notice detailing the violation in a form, location, and for a |
| 19 | | duration prescribed by the Department. |
| 20 | | (d) The Department shall publish disclosures, written |
| 21 | | notices, and copies of agreements submitted in accordance with |
| 22 | | this Section, upon receipt, and notices of violations issued |
| 23 | | under this Section, upon determination, on its website, for |
| 24 | | public viewing. |
| 25 | | Section 20. The MC/DD Act is amended by adding Section |
|
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| 1 | | 3-103a as follows: |
| 2 | | (210 ILCS 46/3-103a new) |
| 3 | | Sec. 3-103a. MC/DD facilities; disclosure, anti-looting, |
| 4 | | and consumer protections. |
| 5 | | (a) As used in this Section, "asset management company" |
| 6 | | means any business primarily engaged in managing and investing |
| 7 | | client funds in assets including, but not limited to, |
| 8 | | securities, equities, stocks, bonds, real estate, investment |
| 9 | | funds, mutual funds, exchange-traded funds, hedge funds, |
| 10 | | private equity funds, and venture capital. |
| 11 | | (b)(1) By December 31, 2026, the Department shall adopt |
| 12 | | rules requiring MC/DD facilities to disclose, both upon |
| 13 | | initial application for licensure and on a quarterly basis |
| 14 | | thereafter, whether the facility, its subsidiaries, |
| 15 | | affiliates, parent companies, or contractual service providers |
| 16 | | are owned, managed, or contained within a fund owned or |
| 17 | | managed by an asset management company. Such facilities shall |
| 18 | | be required to disclose, both upon initial application for |
| 19 | | licensure and on a quarterly basis thereafter, the size of the |
| 20 | | asset management company's assets under management; |
| 21 | | individuals and institutions with interests in the facilities, |
| 22 | | its subsidiaries, affiliates, parent companies, contractual |
| 23 | | service providers, and the fund containing the same; debt held |
| 24 | | by the facility, its subsidiaries, affiliates, parent |
| 25 | | companies, contractual service providers, and the fund |
|
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| 1 | | containing the same; fees and payments, and rates for the |
| 2 | | same, collected by the asset management company, its |
| 3 | | subsidiaries, affiliates, parent companies, partners, |
| 4 | | contractual service providers for goods or services provided |
| 5 | | to the facility, its subsidiaries, affiliates, parent |
| 6 | | companies, contractual service providers, and the fund |
| 7 | | containing the same; the number of full-time and part-time |
| 8 | | employees and contractors, grouped by job classification, |
| 9 | | employed or under contract with the facility, its |
| 10 | | subsidiaries, affiliates, parent companies, contractual |
| 11 | | service providers and, where applicable, labor organizations |
| 12 | | representing the same. |
| 13 | | (2) The Department shall also adopt rules requiring |
| 14 | | facilities to provide the Department with written notice of |
| 15 | | transactions, and copies of agreements, which would (i) sell, |
| 16 | | transfer, lease, exchange, option, encumber, convey, or |
| 17 | | otherwise dispose of a material amount of the assets of the |
| 18 | | facility, its subsidiaries, affiliates, parent companies, or |
| 19 | | contractual service providers, to one or more entities or (ii) |
| 20 | | transfer control, responsibility, or governance of a material |
| 21 | | amount of the assets or operations of the facility, its |
| 22 | | subsidiaries, affiliates, parent companies, or contractual |
| 23 | | service providers, to one or more entities. Written notice and |
| 24 | | copies of agreements required under this paragraph shall be |
| 25 | | provided not less than 90 days prior to entering into the |
| 26 | | agreement or transaction. |
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| 1 | | (c)(1) A facility owned, managed, or contained within a |
| 2 | | fund owned or managed by an asset management company, its |
| 3 | | parent companies, or an asset management company which owns or |
| 4 | | manages the facility, its subsidiaries, affiliated entities, |
| 5 | | parent companies, contractual service providers, or a fund |
| 6 | | containing the same, shall not engage in a transaction |
| 7 | | involving the facility, its subsidiaries, affiliated entities, |
| 8 | | parent companies, contractual service providers, or the fund |
| 9 | | containing the same, if the transaction has a reasonable |
| 10 | | likelihood of causing or materially contributing to the |
| 11 | | financial distress of the facility, its subsidiaries, |
| 12 | | affiliated entities, parent companies, or contractual service |
| 13 | | providers, due to placing an excessively high level of debt on |
| 14 | | the same. |
| 15 | | (2) A facility owned, managed, or contained within a fund |
| 16 | | owned or managed by an asset management company, its parent |
| 17 | | companies, or an asset management company which owns or |
| 18 | | manages the facility, its subsidiaries, affiliated entities, |
| 19 | | parent companies, contractual service providers, or a fund |
| 20 | | containing the same, shall not cause or otherwise take actions |
| 21 | | that would result in the facility, its subsidiaries, |
| 22 | | affiliated entities, parent companies, contractual service |
| 23 | | providers, or the fund containing the same (i) issuing |
| 24 | | debt-funded dividends, (ii) paying management fees or similar |
| 25 | | fees or costs, (iii) issuing dividends at a time or in an |
| 26 | | amount, or perform any other action or exceed any other |
|
| | SB3118 | - 25 - | LRB104 17599 KTG 31027 b |
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| 1 | | metric, where such actions have a reasonable likelihood of |
| 2 | | causing the facility, its subsidiaries, affiliated entities, |
| 3 | | parent companies, or contractual service providers to become |
| 4 | | financially distressed. |
| 5 | | (d) A violation of this Section constitutes an unlawful |
| 6 | | practice within the meaning of the Consumer Fraud and |
| 7 | | Deceptive Business Practices Act. Upon becoming aware of a |
| 8 | | violation, the Department shall notify the Attorney General |
| 9 | | and any labor organization representing workers who work or |
| 10 | | worked for the facility, its subsidiaries, affiliates, parent |
| 11 | | companies, or contractual service providers or in the |
| 12 | | facilities of the same. The Attorney General may take action |
| 13 | | under the Consumer Fraud and Deceptive Business Practices Act, |
| 14 | | or any other law, to remedy violations of this Section. Labor |
| 15 | | organizations representing workers who work or worked for the |
| 16 | | facility, its subsidiaries, affiliated entities, parent |
| 17 | | companies, or contractual service providers, or in the |
| 18 | | facilities of the same, shall be entitled to the same rights to |
| 19 | | action afforded to individuals under the Consumer Fraud and |
| 20 | | Deceptive Business Practices Act. The Department shall also |
| 21 | | require violators of this Section to prominently display a |
| 22 | | notice detailing the violation in a form, location, and for a |
| 23 | | duration prescribed by the Department. |
| 24 | | (e) The Department shall publish disclosures, written |
| 25 | | notices, and copies of agreements submitted in accordance with |
| 26 | | this Section, upon receipt, and notices of violations issued |
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| 1 | | under this Section, upon determination, on its website, for |
| 2 | | public viewing. |
| 3 | | Section 25. The ID/DD Community Care Act is amended by |
| 4 | | adding Section 3-103a as follows: |
| 5 | | (210 ILCS 47/3-103a new) |
| 6 | | Sec. 3-103a. ID/DD; disclosure, anti-looting, and consumer |
| 7 | | protections. |
| 8 | | (a) As used in this Section, "asset management company" |
| 9 | | means any business primarily engaged in managing and investing |
| 10 | | client funds in assets including, but not limited to, |
| 11 | | securities, equities, stocks, bonds, real estate, investment |
| 12 | | funds, mutual funds, exchange-traded funds, hedge funds, |
| 13 | | private equity funds, and venture capital. |
| 14 | | (b)(1) By December 31, 2026, the Department shall adopt |
| 15 | | rules requiring ID/DD facilities to disclose, both upon |
| 16 | | initial application for licensure and on a quarterly basis |
| 17 | | thereafter, whether the facility, its subsidiaries, |
| 18 | | affiliates, parent companies, or contractual service providers |
| 19 | | are owned, managed, or contained within a fund owned or |
| 20 | | managed by an asset management company. Such facilities shall |
| 21 | | be required to disclose, both upon initial application for |
| 22 | | licensure and on a quarterly basis thereafter, the size of the |
| 23 | | asset management company's assets under management; |
| 24 | | individuals and institutions with interests in the facilities, |
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| 1 | | its subsidiaries, affiliates, parent companies, contractual |
| 2 | | service providers, and the fund containing the same; debt held |
| 3 | | by the facility, its subsidiaries, affiliates, parent |
| 4 | | companies, contractual service providers, and the fund |
| 5 | | containing the same; fees and payments, and rates for the |
| 6 | | same, collected by the asset management company, its |
| 7 | | subsidiaries, affiliates, parent companies, partners, |
| 8 | | contractual service providers for goods or services provided |
| 9 | | to the facility, its subsidiaries, affiliates, parent |
| 10 | | companies, contractual service providers, and the fund |
| 11 | | containing the same; the number of full-time and part-time |
| 12 | | employees and contractors, grouped by job classification, |
| 13 | | employed or under contract with the facility, its |
| 14 | | subsidiaries, affiliates, parent companies, contractual |
| 15 | | service providers and, where applicable, labor organizations |
| 16 | | representing the same. |
| 17 | | (2) The Department shall also adopt rules requiring |
| 18 | | facilities to provide the Department with written notice of |
| 19 | | transactions, and copies of agreements, which would (i) sell, |
| 20 | | transfer, lease, exchange, option, encumber, convey, or |
| 21 | | otherwise dispose of a material amount of the assets of the |
| 22 | | facility, its subsidiaries, affiliates, parent companies, or |
| 23 | | contractual service providers, to one or more entities or (ii) |
| 24 | | transfer control, responsibility, or governance of a material |
| 25 | | amount of the assets or operations of the facility, its |
| 26 | | subsidiaries, affiliates, parent companies, or contractual |
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| 1 | | service providers, to one or more entities. Written notice and |
| 2 | | copies of agreements required under this paragraph shall be |
| 3 | | provided not less than 90 days prior to entering into the |
| 4 | | agreement or transaction. |
| 5 | | (c)(1) A facility owned, managed, or contained within a |
| 6 | | fund owned or managed by an asset management company, its |
| 7 | | parent companies, or an asset management company which owns or |
| 8 | | manages the facility, its subsidiaries, affiliated entities, |
| 9 | | parent companies, contractual service providers, or a fund |
| 10 | | containing the same, shall not engage in a transaction |
| 11 | | involving the facility, its subsidiaries, affiliated entities, |
| 12 | | parent companies, contractual service providers, or the fund |
| 13 | | containing the same, if the transaction has a reasonable |
| 14 | | likelihood of causing or materially contributing to the |
| 15 | | financial distress of the facility, its subsidiaries, |
| 16 | | affiliated entities, parent companies, or contractual service |
| 17 | | providers, due to placing an excessively high level of debt on |
| 18 | | the same. |
| 19 | | (2) A facility owned, managed, or contained within a fund |
| 20 | | owned or managed by an asset management company, its parent |
| 21 | | companies, or an asset management company which owns or |
| 22 | | manages the facility, its subsidiaries, affiliated entities, |
| 23 | | parent companies, contractual service providers, or a fund |
| 24 | | containing the same, shall not cause or otherwise take actions |
| 25 | | that would result in the facility, its subsidiaries, |
| 26 | | affiliated entities, parent companies, contractual service |
|
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| 1 | | providers, or the fund containing the same (i) issuing |
| 2 | | debt-funded dividends, (ii) paying management fees or similar |
| 3 | | fees or costs, (iii) issuing dividends at a time or in an |
| 4 | | amount, or perform any other action or exceed any other |
| 5 | | metric, where such actions have a reasonable likelihood of |
| 6 | | causing the facility, its subsidiaries, affiliated entities, |
| 7 | | parent companies, or contractual service providers to become |
| 8 | | financially distressed. |
| 9 | | (d) A violation of this Section constitutes an unlawful |
| 10 | | practice within the meaning of the Consumer Fraud and |
| 11 | | Deceptive Business Practices Act. Upon becoming aware of a |
| 12 | | violation, the Department shall notify the Attorney General |
| 13 | | and any labor organization representing workers who work or |
| 14 | | worked for the facility, its subsidiaries, affiliates, parent |
| 15 | | companies, or contractual service providers or in the |
| 16 | | facilities of the same. The Attorney General may take action |
| 17 | | under the Consumer Fraud and Deceptive Business Practices Act, |
| 18 | | or any other law, to remedy violations of this Section. Labor |
| 19 | | organizations representing workers who work or worked for the |
| 20 | | facility, its subsidiaries, affiliated entities, parent |
| 21 | | companies, or contractual service providers, or in the |
| 22 | | facilities of the same, shall be entitled to the same rights to |
| 23 | | action afforded to individuals under the Consumer Fraud and |
| 24 | | Deceptive Business Practices Act. The Department shall also |
| 25 | | require violators of this Section to prominently display a |
| 26 | | notice detailing the violation in a form, location, and for a |
|
| | SB3118 | - 30 - | LRB104 17599 KTG 31027 b |
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| 1 | | duration prescribed by the Department. |
| 2 | | (e) The Department shall publish disclosures, written |
| 3 | | notices, and copies of agreements submitted in accordance with |
| 4 | | this Section, upon receipt, and notices of violations issued |
| 5 | | under this Section, upon determination, on its website, for |
| 6 | | public viewing. |
| 7 | | Section 30. The Community-Integrated Living Arrangements |
| 8 | | Licensure and Certification Act is amended by changing Section |
| 9 | | 3 and by adding Section 9a as follows: |
| 10 | | (210 ILCS 135/3) (from Ch. 91 1/2, par. 1703) |
| 11 | | Sec. 3. As used in this Act, unless the context requires |
| 12 | | otherwise: |
| 13 | | (a) "Applicant" means a person, group of persons, |
| 14 | | association, partnership, or corporation that applies for a |
| 15 | | license as a community developmental services agency under |
| 16 | | this Act. |
| 17 | | (a-5) "Asset management company" means any business |
| 18 | | primarily engaged in managing and investing client funds in |
| 19 | | assets including, but not limited to, securities, equities, |
| 20 | | stocks, bonds, real estate, investment funds, mutual funds, |
| 21 | | exchange-traded funds, hedge funds, private equity funds, and |
| 22 | | venture capital. |
| 23 | | (b) "Community developmental services agency" or "agency" |
| 24 | | means a public or private agency, association, partnership, |
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| | SB3118 | - 31 - | LRB104 17599 KTG 31027 b |
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| 1 | | corporation, or organization which, pursuant to this Act, |
| 2 | | certifies community-integrated living arrangements for persons |
| 3 | | with a developmental disability. |
| 4 | | (c) "Department" means the Department of Human Services |
| 5 | | (as successor to the Department of Mental Health and |
| 6 | | Developmental Disabilities). |
| 7 | | (d) "Community-integrated living arrangement" means a |
| 8 | | living arrangement certified by a community developmental |
| 9 | | services agency under this Act where 8 or fewer recipients |
| 10 | | with a developmental disability who reside under the |
| 11 | | supervision of the agency. Examples of community-integrated |
| 12 | | living arrangements include, but are not limited to, the |
| 13 | | following: |
| 14 | | (1) "Adult foster care", a living arrangement for |
| 15 | | recipients in residences of families unrelated to them, |
| 16 | | for the purpose of providing family care for the |
| 17 | | recipients on a full-time basis; |
| 18 | | (2) "Assisted residential care", an independent living |
| 19 | | arrangement where recipients are intermittently supervised |
| 20 | | by off-site staff; |
| 21 | | (3) "Crisis residential care", a non-medical living |
| 22 | | arrangement where recipients in need of non-medical, |
| 23 | | crisis services are supervised by on-site staff 24 hours a |
| 24 | | day; |
| 25 | | (4) "Home individual programs", living arrangements |
| 26 | | for 2 unrelated adults outside the family home; |
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| 1 | | (5) "Supported residential care", a living arrangement |
| 2 | | where recipients are supervised by on-site staff and such |
| 3 | | supervision is provided less than 24 hours a day; |
| 4 | | (6) "Community residential alternatives", as defined |
| 5 | | in the Community Residential Alternatives Licensing Act; |
| 6 | | and |
| 7 | | (7) "Special needs trust-supported residential care", |
| 8 | | a living arrangement where recipients are supervised by |
| 9 | | on-site staff and that supervision is provided 24 hours |
| 10 | | per day or less, as dictated by the needs of the |
| 11 | | recipients, and determined by service providers. As used |
| 12 | | in this item (7), "special needs trust" means a trust for |
| 13 | | the benefit of a beneficiary with a disability as |
| 14 | | described in Section 1213 of the Illinois Trust Code. |
| 15 | | (e) "Recipient" means a person who has received, is |
| 16 | | receiving, or is in need of treatment or habilitation as those |
| 17 | | terms are defined in the Mental Health and Developmental |
| 18 | | Disabilities Code. |
| 19 | | (f) "Unrelated" means that persons residing together in |
| 20 | | programs or placements certified by a community developmental |
| 21 | | services agency under this Act do not have any of the following |
| 22 | | relationships by blood, marriage, or adoption: parent, son, |
| 23 | | daughter, brother, sister, grandparent, uncle, aunt, nephew, |
| 24 | | niece, great grandparent, great uncle, great aunt, |
| 25 | | stepbrother, stepsister, stepson, stepdaughter, stepparent, or |
| 26 | | first cousin. |
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| 1 | | (Source: P.A. 104-270, eff. 8-15-25; revised 12-12-25.) |
| 2 | | (210 ILCS 135/9a new) |
| 3 | | Sec. 9a. CILAs; disclosure, anti-looting, and consumer |
| 4 | | protections. |
| 5 | | (a)(1) By December 31, 2026, the Department shall adopt |
| 6 | | rules requiring agencies to disclose, both upon initial |
| 7 | | application for licensure and on a quarterly basis thereafter, |
| 8 | | whether the agency, its subsidiaries, affiliates, parent |
| 9 | | companies, or contractual service providers are owned, |
| 10 | | managed, or contained within a fund owned or managed by an |
| 11 | | asset management company. Such agencies shall be required to |
| 12 | | disclose, both upon initial application for licensure and on a |
| 13 | | quarterly basis thereafter, the size of the asset management |
| 14 | | company's assets under management; individuals and |
| 15 | | institutions with interests in the agency, its subsidiaries, |
| 16 | | affiliates, parent companies, contractual service providers, |
| 17 | | and the fund containing the same; debt held by the agency, its |
| 18 | | subsidiaries, affiliates, parent companies, contractual |
| 19 | | service providers, and the fund containing the same; fees and |
| 20 | | payments, and rates for the same, collected by the asset |
| 21 | | management company, its subsidiaries, affiliates, parent |
| 22 | | companies, partners, contractual service providers for goods |
| 23 | | or services provided to the agency, its subsidiaries, |
| 24 | | affiliates, parent companies, contractual service providers, |
| 25 | | and the fund containing the same; the number of full-time and |
|
| | SB3118 | - 34 - | LRB104 17599 KTG 31027 b |
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| 1 | | part-time employees and contractors, grouped by job |
| 2 | | classification, employed or under contract with the agency, |
| 3 | | its subsidiaries, affiliates, parent companies, contractual |
| 4 | | service providers and, where applicable, labor organizations |
| 5 | | representing the same. |
| 6 | | (2) The Department shall also adopt rules requiring |
| 7 | | agencies to provide the Department with written notice of |
| 8 | | transactions, and copies of agreements, which would (i) sell, |
| 9 | | transfer, lease, exchange, option, encumber, convey, or |
| 10 | | otherwise dispose of a material amount of the assets of the |
| 11 | | agency, its subsidiaries, affiliates, parent companies, or |
| 12 | | contractual service providers, to one or more entities or (ii) |
| 13 | | transfer control, responsibility, or governance of a material |
| 14 | | amount of the assets or operations of the agency, its |
| 15 | | subsidiaries, affiliates, parent companies, or contractual |
| 16 | | service providers, to one or more entities. Written notice and |
| 17 | | copies of agreements required under this paragraph shall be |
| 18 | | provided not less than 90 days prior to entering into the |
| 19 | | agreement or transaction. |
| 20 | | (b)(1) An agency owned, managed, or contained within a |
| 21 | | fund owned or managed by an asset management company, its |
| 22 | | parent companies, or an asset management company which owns or |
| 23 | | manages the agency, its subsidiaries, affiliated entities, |
| 24 | | parent companies, contractual service providers, or a fund |
| 25 | | containing the same, shall not engage in a transaction |
| 26 | | involving the agency, its subsidiaries, affiliated entities, |
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| 1 | | parent companies, contractual service providers, or the fund |
| 2 | | containing the same, if the transaction has a reasonable |
| 3 | | likelihood of causing or materially contributing to the |
| 4 | | financial distress of the agency, its subsidiaries, affiliated |
| 5 | | entities, parent companies, or contractual service providers, |
| 6 | | due to placing an excessively high level of debt on the same. |
| 7 | | (2) An agency owned, managed, or contained within a fund |
| 8 | | owned or managed by an asset management company, its parent |
| 9 | | companies, or an asset management company which owns or |
| 10 | | manages the agency, its subsidiaries, affiliated entities, |
| 11 | | parent companies, contractual service providers, or a fund |
| 12 | | containing the same, shall not cause or otherwise take actions |
| 13 | | that would result in the agency, its subsidiaries, affiliated |
| 14 | | entities, parent companies, contractual service providers, or |
| 15 | | the fund containing the same (i) issuing debt-funded |
| 16 | | dividends, (ii) paying management fees or similar fees or |
| 17 | | costs, (iii) issuing dividends at a time or in an amount, or |
| 18 | | perform any other action or exceed any other metric, where |
| 19 | | such actions have a reasonable likelihood of causing the |
| 20 | | agency, its subsidiaries, affiliated entities, parent |
| 21 | | companies, or contractual service providers to become |
| 22 | | financially distressed. |
| 23 | | (c) A violation of this Section constitutes an unlawful |
| 24 | | practice within the meaning of the Consumer Fraud and |
| 25 | | Deceptive Business Practices Act. Upon becoming aware of a |
| 26 | | violation, the Department shall notify the Attorney General |
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| 1 | | and any labor organization representing workers who work or |
| 2 | | worked for the agency, its subsidiaries, affiliates, parent |
| 3 | | companies, or contractual service providers or in the |
| 4 | | facilities of the same. The Attorney General may take action |
| 5 | | under the Consumer Fraud and Deceptive Business Practices Act, |
| 6 | | or any other law, to remedy violations of this Section. Labor |
| 7 | | organizations representing workers who work or worked for the |
| 8 | | agency, its subsidiaries, affiliated entities, parent |
| 9 | | companies, or contractual service providers, or in the |
| 10 | | facilities of the same, shall be entitled to the same rights to |
| 11 | | action afforded to individuals under the Consumer Fraud and |
| 12 | | Deceptive Business Practices Act. The Department shall also |
| 13 | | require violators of this Section to prominently display a |
| 14 | | notice detailing the violation in a form, location, and for a |
| 15 | | duration prescribed by the Department. |
| 16 | | (d) The Department shall publish disclosures, written |
| 17 | | notices, and copies of agreements submitted in accordance with |
| 18 | | this Section, upon receipt, and notices of violations issued |
| 19 | | under this Section, upon determination, on its website, for |
| 20 | | public viewing. |
| 21 | | Section 35. The Child Care Act of 1969 is amended by adding |
| 22 | | Sections 2.41 and 7.6a as follows: |
| 23 | | (225 ILCS 10/2.41 new) |
| 24 | | Sec. 2.41. Asset management company. "Asset management |
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| 1 | | company" means any business primarily engaged in managing and |
| 2 | | investing client funds in assets including, but not limited |
| 3 | | to, securities, equities, stocks, bonds, real estate, |
| 4 | | investment funds, mutual funds, exchange-traded funds, hedge |
| 5 | | funds, private equity funds, and venture capital. |
| 6 | | (225 ILCS 10/7.6a new) |
| 7 | | Sec. 7.6a. Child care institutions and group homes for |
| 8 | | children with developmental disabilities; disclosure, |
| 9 | | anti-looting, and consumer protections. |
| 10 | | (a)(1) By December 31, 2026, the Department shall adopt |
| 11 | | rules requiring child care institutions and group homes for |
| 12 | | children with developmental disabilities to disclose, both |
| 13 | | upon initial application for licensure and on a quarterly |
| 14 | | basis thereafter, whether the facility, its subsidiaries, |
| 15 | | affiliates, parent companies, or contractual service providers |
| 16 | | are owned, managed, or contained within a fund owned or |
| 17 | | managed by an asset management company. Such facilities shall |
| 18 | | be required to disclose, on forms prescribed by the |
| 19 | | Department, the size of the asset management company's assets |
| 20 | | under management; individuals and institutions with interests |
| 21 | | in the facility, its subsidiaries, affiliates, parent |
| 22 | | companies, contractual service providers, and the fund |
| 23 | | containing the same; debt held by the facility, its |
| 24 | | subsidiaries, affiliates, parent companies, contractual |
| 25 | | service providers, and the fund containing the same; fees and |
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| 1 | | payments, and rates for the same, collected by the asset |
| 2 | | management company, its subsidiaries, affiliates, parent |
| 3 | | companies, partners, contractual service providers for goods |
| 4 | | or services provided to the facility, its subsidiaries, |
| 5 | | affiliates, parent companies, contractual service providers, |
| 6 | | and the fund containing the same; the number of full-time and |
| 7 | | part-time employees and contractors, grouped by job |
| 8 | | classification, employed or under contract with the facility, |
| 9 | | its subsidiaries, affiliates, parent companies, contractual |
| 10 | | service providers and, where applicable, labor organizations |
| 11 | | representing the same. |
| 12 | | (2) The Department shall also adopt rules requiring such |
| 13 | | facilities to provide the Department with written notice of |
| 14 | | transactions, and copies of agreements, which would (i) sell, |
| 15 | | transfer, lease, exchange, option, encumber, convey, or |
| 16 | | otherwise dispose of a material amount of the assets of the |
| 17 | | facility, its subsidiaries, affiliates, parent companies, or |
| 18 | | contractual service providers, to one or more entities or (ii) |
| 19 | | transfer control, responsibility, or governance of a material |
| 20 | | amount of the assets or operations of the facility, its |
| 21 | | subsidiaries, affiliates, parent companies, or contractual |
| 22 | | service providers, to one or more entities. Written notice and |
| 23 | | copies of agreements required under this paragraph shall be |
| 24 | | provided not less than 90 days prior to entering into the |
| 25 | | agreement or transaction. |
| 26 | | (b)(1) A facility owned, managed, or contained within a |
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| 1 | | fund owned or managed by an asset management company, its |
| 2 | | parent companies, or an asset management company which owns or |
| 3 | | manages the facility, its subsidiaries, affiliated entities, |
| 4 | | parent companies, contractual service providers, or a fund |
| 5 | | containing the same, shall not engage in a transaction |
| 6 | | involving the facility, its subsidiaries, affiliated entities, |
| 7 | | parent companies, contractual service providers, or the fund |
| 8 | | containing the same, if the transaction has a reasonable |
| 9 | | likelihood of causing or materially contributing to the |
| 10 | | financial distress of the facility, its subsidiaries, |
| 11 | | affiliated entities, parent companies, or contractual service |
| 12 | | providers, due to placing an excessively high level of debt on |
| 13 | | the same. |
| 14 | | (2) A facility owned, managed, or contained within a fund |
| 15 | | owned or managed by an asset management company, its parent |
| 16 | | companies, or an asset management company which owns or |
| 17 | | manages the facility, its subsidiaries, affiliated entities, |
| 18 | | parent companies, contractual service providers, or a fund |
| 19 | | containing the same, shall not cause or otherwise take actions |
| 20 | | that would result in the facility, its subsidiaries, |
| 21 | | affiliated entities, parent companies, contractual service |
| 22 | | providers, or the fund containing the same (i) issuing |
| 23 | | debt-funded dividends, (ii) paying management fees or similar |
| 24 | | fees or costs, (iii) issuing dividends at a time or in an |
| 25 | | amount, or perform any other action or exceed any other |
| 26 | | metric, where such actions have a reasonable likelihood of |
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| 1 | | causing the facility, its subsidiaries, affiliated entities, |
| 2 | | parent companies, or contractual service providers to become |
| 3 | | financially distressed. |
| 4 | | (c) A violation of this Section constitutes an unlawful |
| 5 | | practice within the meaning of the Consumer Fraud and |
| 6 | | Deceptive Business Practices Act. Upon becoming aware of a |
| 7 | | violation, the Department shall notify the Attorney General |
| 8 | | and any labor organization representing workers who work or |
| 9 | | worked for the facility, its subsidiaries, affiliates, parent |
| 10 | | companies, or contractual service providers or in the |
| 11 | | facilities of the same. The Attorney General may take action |
| 12 | | under the Consumer Fraud and Deceptive Business Practices Act, |
| 13 | | or any other law, to remedy violations of this Section. Labor |
| 14 | | organizations representing workers who work or worked for the |
| 15 | | facility, its subsidiaries, affiliated entities, parent |
| 16 | | companies, or contractual service providers, or in the |
| 17 | | facilities of the same, shall be entitled to the same rights to |
| 18 | | action afforded to individuals under the Consumer Fraud and |
| 19 | | Deceptive Business Practices Act. The Department shall also |
| 20 | | require violators of this Section to prominently display a |
| 21 | | notice detailing the violation in a form, location, and for a |
| 22 | | duration prescribed by the Department. |
| 23 | | (d) The Department shall publish disclosures, written |
| 24 | | notices, and copies of agreements submitted in accordance with |
| 25 | | this Section, upon receipt, and notices of violations issued |
| 26 | | under this Section, upon determination, on its website, for |
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| 1 | | public viewing. |
| 2 | | Section 40. The Consumer Fraud and Deceptive Business |
| 3 | | Practices Act is amended by changing Section 2Z as follows: |
| 4 | | (815 ILCS 505/2Z) (from Ch. 121 1/2, par. 262Z) |
| 5 | | Sec. 2Z. Violations of other Acts. Any person who |
| 6 | | knowingly violates the Automotive Repair Act, the Automotive |
| 7 | | Collision Repair Act, the Home Repair and Remodeling Act, the |
| 8 | | Dance Studio Act, the Physical Fitness Services Act, the |
| 9 | | Hearing Instrument Consumer Protection Act, the Illinois Union |
| 10 | | Label Act, the Installment Sales Contract Act, the Job |
| 11 | | Referral and Job Listing Services Consumer Protection Act, the |
| 12 | | Travel Promotion Consumer Protection Act, the Credit Services |
| 13 | | Organizations Act, the Automatic Telephone Dialers Act, the |
| 14 | | Pay-Per-Call Services Consumer Protection Act, the Telephone |
| 15 | | Solicitations Act, the Illinois Funeral or Burial Funds Act, |
| 16 | | the Cemetery Oversight Act, the Cemetery Care Act, the Safe |
| 17 | | and Hygienic Bed Act, the Illinois Pre-Need Cemetery Sales |
| 18 | | Act, the High Risk Home Loan Act, the Payday Loan Reform Act, |
| 19 | | the Predatory Loan Prevention Act, the Mortgage Rescue Fraud |
| 20 | | Act, subsection (a) or (b) of Section 3-10 of the Cigarette Tax |
| 21 | | Act, subsection (a) or (b) of Section 3-10 of the Cigarette Use |
| 22 | | Tax Act, the Electronic Mail Act, the Internet Caller |
| 23 | | Identification Act, paragraph (6) of subsection (k) of Section |
| 24 | | 6-305 of the Illinois Vehicle Code, Section 11-1431, 18d-115, |
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| 1 | | 18d-120, 18d-125, 18d-135, 18d-150, or 18d-153 of the Illinois |
| 2 | | Vehicle Code, Article 3 of the Residential Real Property |
| 3 | | Disclosure Act, the Automatic Contract Renewal Act, the |
| 4 | | Reverse Mortgage Act, Section 25 of the Youth Mental Health |
| 5 | | Protection Act, the Personal Information Protection Act, or |
| 6 | | the Student Online Personal Protection Act, Section 4.02i of |
| 7 | | the Illinois Act on the Aging, Section 15.2a or 68a of the |
| 8 | | Mental Health and Developmental Disabilities Administrative |
| 9 | | Act, Section 19 of the Community Living Facilities Licensing |
| 10 | | Act, Section 3-103a of the MC/DD Act, Section 3-103a of the |
| 11 | | ID/DD Community Care Act, Section 9a of the |
| 12 | | Community-Integrated Living Arrangements Licensure and |
| 13 | | Certification Act, and Section 7.6a of the Child Care Act of |
| 14 | | 1969 commits an unlawful practice within the meaning of this |
| 15 | | Act. |
| 16 | | (Source: P.A. 100-315, eff. 8-24-17; 100-416, eff. 1-1-18; |
| 17 | | 100-863, eff. 8-14-18; 101-658, eff. 3-23-21.) |
| 18 | | Section 99. Effective date. This Act takes effect upon |
| 19 | | becoming law. |
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| | 1 | |
INDEX
| | 2 | |
Statutes amended in order of appearance
| | | 3 | | 20 ILCS 105/3.14 new | | | | 4 | | 20 ILCS 105/4.02i new | | | | 5 | | 20 ILCS 1705/2 | from Ch. 91 1/2, par. 100-2 | | | 6 | | 20 ILCS 1705/15.2a new | | | | 7 | | 20 ILCS 1705/68a new | | | | 8 | | 210 ILCS 35/3 | from Ch. 111 1/2, par. 4183 | | | 9 | | 210 ILCS 35/19 new | | | | 10 | | 210 ILCS 46/3-103a new | | | | 11 | | 210 ILCS 47/3-103a new | | | | 12 | | 210 ILCS 135/3 | from Ch. 91 1/2, par. 1703 | | | 13 | | 210 ILCS 135/9a new | | | | 14 | | 225 ILCS 10/2.41 new | | | | 15 | | 225 ILCS 10/7.6a new | | | | 16 | | 815 ILCS 505/2Z | from Ch. 121 1/2, par. 262Z |
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