Public Act 102-0929 Public Act 0929 102ND GENERAL ASSEMBLY |
Public Act 102-0929 | HB4313 Enrolled | LRB102 21390 BMS 30506 b |
|
| AN ACT concerning regulation.
| Be it enacted by the People of the State of Illinois,
| represented in the General Assembly:
| Section 5. The Illinois Insurance Code is amended by | changing Sections 131.22, 132.5, and 547 as follows:
| (215 ILCS 5/131.22)
| (Text of Section before amendment by P.A. 102-578 ) | Sec. 131.22. Confidential treatment. | (a) Documents, materials, or other information in the | possession or control of the Department that are obtained by | or disclosed to the Director or any other person in the course | of an examination or investigation made pursuant to this | Article and all information reported or provided to the | Department pursuant to paragraphs (12) and (13) of Section | 131.5 and Sections 131.13 through 131.21 shall be confidential | by law and privileged, shall not be subject to the Illinois | Freedom of Information Act, shall not be subject to subpoena, | and shall not be subject to discovery or admissible in | evidence in any private civil action. However, the Director is | authorized to use the documents, materials, or other | information in the furtherance of any regulatory or legal | action brought as a part of the Director's official duties. | The Director shall not otherwise make the documents, |
| materials, or other information public without the prior | written consent of the company to which it pertains unless the | Director, after giving the company and its affiliates who | would be affected thereby prior written notice and an | opportunity to be heard, determines that the interest of | policyholders, shareholders, or the public shall be served by | the publication thereof, in which event the Director may | publish all or any part in such manner as may be deemed | appropriate. | (b) Neither the Director nor any person who received | documents, materials, or other information while acting under | the authority of the Director or with whom such documents, | materials, or other information are shared pursuant to this | Article shall be permitted or required to testify in any | private civil action concerning any confidential documents, | materials, or information subject to subsection (a) of this | Section. | (c) In order to assist in the performance of the | Director's duties, the Director: | (1) may share documents, materials, or other | information, including the confidential and privileged | documents, materials, or information subject to subsection | (a) of this Section, with other state, federal, and | international regulatory agencies, with the NAIC and its | affiliates and subsidiaries, and with third-party
| consultants, and with state, federal, and international |
| law enforcement authorities and regulatory agencies, | including members of any supervisory college allowed by | this Article, provided that the recipient agrees in | writing to maintain the confidentiality and privileged | status of the document, material, or other information, | and has verified in writing the legal authority to | maintain confidentiality; | (1.5) notwithstanding paragraph (1) of this subsection | (c), may only share confidential and privileged documents, | material, or information reported pursuant to Section | 131.14b with commissioners of states having statutes or | regulations substantially similar to subsection (a) of | this Section and who have agreed in writing not to | disclose such information; and | (1.7) notwithstanding paragraph (1) of this subsection | (c), may only share confidential and privileged documents, | material, or information reported pursuant to Section | 131.14b with the Illinois Insurance Guaranty Fund | regarding any member company defined in Section 534.5 if | the member company has an authorized control level event | as defined in Section 35A-25; the Director may disclose | the information described in this subsection so long as | the Fund agrees in writing to hold that information | confidential, in a manner consistent with this Code, and | uses that information to prepare for the possible | liquidation of the member company; access to the |
| information disclosed by the Director to the Fund shall be | limited to the Fund's staff and its counsel; the board of | directors of the Fund may have access to the information | disclosed by the Director to the Fund once the member | company is subject to a delinquency proceeding under | Article XIII subject to any terms and conditions | established by the Director; and | (2) may receive documents, materials, or information, | including otherwise confidential and privileged documents, | materials, or information from the NAIC and its affiliates | and subsidiaries and from regulatory and law enforcement | officials of other foreign or domestic jurisdictions, and | shall maintain as confidential or privileged any document, | material, or information received with notice or the | understanding that it is confidential or privileged under | the laws of the jurisdiction that is the source of the | document, material, or information; any such documents,
| materials, or information, while in the Director's | possession, shall not be subject to the
Illinois Freedom | of Information Act and shall not be subject to subpoena. | (c-5) Written agreements with the NAIC or third-party | consultants governing sharing and use of information provided | pursuant to this Article consistent with this subsection (c) | shall:
| (1)
specify procedures and protocols regarding the | confidentiality and security of information shared with |
| the NAIC and its affiliates and subsidiaries or | third-party consultants pursuant to this Article, | including procedures and protocols for sharing by the NAIC | with other state, federal, or international regulators;
| (2)
specify that ownership of information shared with | the NAIC and its affiliates and subsidiaries or | third-party consultants pursuant to this Article remains | with the Director and the NAIC's or third-party | consultant's use of the information is subject to the | direction of the Director;
| (3)
require prompt notice to be given to a company | whose confidential information in the possession of the | NAIC or third-party consultant pursuant to this Article is | subject to a request or subpoena for disclosure or | production; and
| (4)
require the NAIC and its affiliates and | subsidiaries or third-party consultants to consent to | intervention by a company in any judicial or | administrative action in which the NAIC and its affiliates | and subsidiaries or third-party consultants may be | required to disclose confidential information about the | company shared with the NAIC and its affiliates and | subsidiaries or third-party consultants pursuant to this | Article. | (d) The sharing of documents, materials, or information by | the Director pursuant to this Article shall not constitute a |
| delegation of regulatory authority or rulemaking, and the | Director is solely responsible for the administration, | execution, and enforcement of the provisions of this Article. | (e) No waiver of any applicable privilege or claim of | confidentiality in the documents, materials, or information | shall occur as a result of disclosure to the Director under | this Section or as a result of sharing as authorized in | subsection (c) of this Section. | (f) Documents, materials, or other information in the | possession or control of the NAIC or a third-party consultant | pursuant to this Article shall be confidential by law and | privileged, shall not be subject to the Illinois Freedom of | Information Act, shall not be subject to subpoena, and shall | not be subject to discovery or admissible in evidence in any | private civil action.
| (Source: P.A. 102-394, eff. 8-16-21.) | (Text of Section after amendment by P.A. 102-578 )
| Sec. 131.22. Confidential treatment. | (a) Documents, materials, or other information in the | possession or control of the Department that are obtained by | or disclosed to the Director or any other person in the course | of an examination or investigation made pursuant to this | Article and all information reported or provided to the | Department pursuant to paragraphs (12) and (13) of Section | 131.5 and Sections 131.13 through 131.21 are recognized by |
| this State as being proprietary and to contain trade secrets, | and shall be confidential by law and privileged, shall not be | subject to the Illinois Freedom of Information Act, shall not | be subject to subpoena, and shall not be subject to discovery | or admissible in evidence in any private civil action. | However, the Director is authorized to use the documents, | materials, or other information in the furtherance of any | regulatory or legal action brought as a part of the Director's | official duties. The Director shall not otherwise make the | documents, materials, or other information public without the | prior written consent of the company to which it pertains | unless the Director, after giving the company and its | affiliates who would be affected thereby prior written notice | and an opportunity to be heard, determines that the interest | of policyholders, shareholders, or the public shall be served | by the publication thereof, in which event the Director may | publish all or any part in such manner as may be deemed | appropriate. | (b) Neither the Director nor any person who received | documents, materials, or other information while acting under | the authority of the Director or with whom such documents, | materials, or other information are shared pursuant to this | Article shall be permitted or required to testify in any | private civil action concerning any confidential documents, | materials, or information subject to subsection (a) of this | Section. |
| (c) In order to assist in the performance of the | Director's duties, the Director: | (1) may share documents, materials, or other | information, including the confidential and privileged | documents, materials, or information subject to subsection | (a) of this Section, including proprietary and trade | secret documents and materials, with other state, federal, | and international regulatory agencies, with the NAIC and | its affiliates and subsidiaries, and with third-party
| consultants, and with state, federal, and international | law enforcement authorities and regulatory agencies, | including members of any supervisory college allowed by | this Article, provided that the recipient agrees in | writing to maintain the confidentiality and privileged | status of the document, material, or other information, | and has verified in writing the legal authority to | maintain confidentiality; | (1.5) notwithstanding paragraph (1) of this subsection | (c), may only share confidential and privileged documents, | material, or information reported pursuant to subsection | (a) of Section 131.14b with commissioners of states having | statutes or regulations substantially similar to | subsection (a) of this Section and who have agreed in | writing not to disclose such information; and | (1.7) notwithstanding paragraph (1) of this subsection | (c), may only share confidential and privileged documents, |
| material, or information reported pursuant to Section | 131.14b with the Illinois Insurance Guaranty Fund | regarding any member company defined in Section 534.5 if | the member company has an authorized control level event | as defined in Section 35A-25; the Director may disclose | the information described in this subsection so long as | the Fund agrees in writing to hold that information | confidential, in a manner consistent with this Code, and | uses that information to prepare for the possible | liquidation of the member company; access to the | information disclosed by the Director to the Fund shall be | limited to the Fund's staff and its counsel; the board of | directors of the Fund may have access to the information | disclosed by the Director to the Fund once the member | company is subject to a delinquency proceeding under | Article XIII subject to any terms and conditions | established by the Director; and | (2) may receive documents, materials, or information, | including otherwise confidential and privileged documents, | materials, or information, including proprietary and trade | secret information, from the NAIC and its affiliates and | subsidiaries and from regulatory and law enforcement | officials of other foreign or domestic jurisdictions, and | shall maintain as confidential or privileged any document, | material, or information received with notice or the | understanding that it is confidential or privileged under |
| the laws of the jurisdiction that is the source of the | document, material, or information; any such documents,
| materials, or information, while in the Director's | possession, shall not be subject to the
Illinois Freedom | of Information Act and shall not be subject to subpoena. | (blank). | (c-5) Written agreements with the NAIC or third-party | consultants governing sharing and use of information provided | pursuant to this Article consistent with subsection (c) shall:
| (1)
specify procedures and protocols regarding the | confidentiality and security of information shared with | the NAIC and its affiliates and subsidiaries or | third-party consultants pursuant to this Article, | including procedures and protocols for sharing by the NAIC | with other state, federal, or international regulators; | the agreement shall provide that the recipient agrees in | writing to maintain the confidentiality and privileged | status of the documents, materials, or other information | and has verified in writing the legal authority to | maintain such confidentiality;
| (2)
specify that ownership of information shared with | the NAIC and its affiliates and subsidiaries or | third-party consultants pursuant to this Article remains | with the Director and the NAIC's or third-party | consultant's use of the information is subject to the | direction of the Director;
|
| (3)
require prompt notice to be given to a company | whose confidential information in the possession of the | NAIC or third-party consultant pursuant to this Article is | subject to a request or subpoena for disclosure or | production;
| (4)
require the NAIC and its affiliates and | subsidiaries or third-party consultants to consent to | intervention by a company in any judicial or | administrative action in which the NAIC and its affiliates | and subsidiaries or third-party consultants may be | required to disclose confidential information about the | company shared with the NAIC and its affiliates and | subsidiaries or third-party consultants pursuant to this | Article; and | (5) excluding documents, material, or information | reported pursuant to subsection (c) of Section 131.14b, | prohibit the NAIC or third-party consultant from storing | the information shared pursuant to this Code in a | permanent database after the underlying analysis is | completed. | (d) The sharing of documents, materials, or information by | the Director pursuant to this Article shall not constitute a | delegation of regulatory authority or rulemaking, and the | Director is solely responsible for the administration, | execution, and enforcement of the provisions of this Article. | (e) No waiver of any applicable privilege or claim of |
| confidentiality in the documents, materials, or information | shall occur as a result of disclosure to the Director under | this Section or as a result of sharing as authorized in | subsection (c) of this Section. | (f) Documents, materials, or other information in the | possession or control of the NAIC or third-party consultant | pursuant to this Article shall be confidential by law and | privileged, shall not be subject to the Illinois Freedom of | Information Act, shall not be subject to subpoena, and shall | not be subject to discovery or admissible in evidence in any | private civil action.
| (Source: P.A. 102-394, eff. 8-16-21; 102-578, eff. 12-31-22; | revised 9-22-21.)
| (215 ILCS 5/132.5) (from Ch. 73, par. 744.5)
| Sec. 132.5. Examination reports.
| (a) General description. All examination reports shall be | comprised of
only facts appearing upon the books, records, or | other documents of the
company, its agents, or other persons | examined or as ascertained from the
testimony of its officers, | agents, or other persons examined concerning its
affairs and | the conclusions and recommendations as the examiners find
| reasonably warranted from those facts.
| (b) Filing of examination report. No later than 60 days | following
completion of the examination, the examiner in | charge shall file with the
Department a verified written |
| report of examination under oath. Upon
receipt of the verified | report, the Department shall transmit the report to
the | company examined, together with a notice that affords the | company examined
a reasonable opportunity of not more than 30 | days to make a written
submission or rebuttal with respect to | any matters contained in the examination report.
| (c) Adoption of the report on examination. Within 30 days | of the end of the
period allowed for the receipt of written | submissions or rebuttals, the
Director shall fully consider | and review the report, together with any
written submissions | or rebuttals and any relevant portions of the examiners
work | papers and enter an order:
| (1) Adopting the examination report as filed or with | modification or
corrections. If the examination report | reveals that the company is
operating in violation of any | law, regulation, or prior order of the
Director, the | Director may order the company to take any action the
| Director considers necessary and appropriate to cure the | violation.
| (2) Rejecting the examination report with directions | to the examiners
to reopen the examination for purposes of | obtaining additional data,
documentation, or information | and refiling under subsection (b).
| (3) Calling for an investigatory hearing with no less | than 20 days
notice to the company for purposes of | obtaining additional documentation,
data, information, and |
| testimony.
| (d) Order and procedures. All orders entered under | paragraph (1) of
subsection (c) shall be accompanied by | findings and conclusions resulting
from the Director's | consideration and review of the examination report,
relevant | examiner work papers, and any written submissions or | rebuttals.
The order shall be considered a final | administrative decision and may be
appealed in accordance with | the Administrative Review Law. The order shall
be served upon | the company by certified mail, together with a copy of the
| adopted examination report. Within 30 days of the issuance of | the adopted
report, the company shall file affidavits executed | by each of its directors
stating under oath that they have | received a copy of the adopted report and
related orders.
| Any hearing conducted under paragraph (3) of subsection | (c) by the
Director or an authorized representative shall be | conducted as a
nonadversarial confidential investigatory | proceeding as necessary for the
resolution of any | inconsistencies, discrepancies, or disputed issues
apparent | upon the face of the filed examination report or raised by or | as a
result of the Director's review of relevant work papers or | by the written
submission or rebuttal of the company.
Within | 20 days of the conclusion of any hearing, the Director shall | enter
an order under paragraph (1) of subsection (c).
| The Director shall not appoint an examiner as an | authorized
representative to conduct the hearing. The hearing |
| shall proceed
expeditiously with discovery by the company | limited to the examiner's work
papers that tend to | substantiate any assertions set forth in any written
| submission or rebuttal. The Director or his representative may | issue
subpoenas for the attendance of any witnesses or the | production of any
documents deemed relevant to the | investigation, whether under the control
of the Department, | the company, or other persons. The documents produced
shall be | included in the record, and testimony taken by the Director or | his
representative shall be under oath and preserved for the | record. Nothing
contained in this Section shall require the | Department to disclose any
information or records that would | indicate or show the existence or content
of any investigation | or activity of a criminal justice agency.
| The hearing shall proceed with the Director or his | representative
posing questions to the persons subpoenaed. | Thereafter the company and the
Department may present | testimony relevant to the investigation.
Cross-examination | shall be conducted only by the Director or his representative.
| The company and the Department shall be permitted to make | closing
statements and may be represented by counsel of their | choice.
| (e) Publication and use. Upon the adoption of the | examination report
under paragraph (1) of subsection (c), the | Director shall continue to hold
the content of the examination | report as private and confidential
information for a period of |
| 35 days, except to the extent provided in
subsection (b). | Thereafter, the Director may open the report for public
| inspection so long as no court of competent jurisdiction has | stayed its publication.
| Nothing contained in this Code shall prevent or be | construed as
prohibiting the Director from disclosing the | content of an examination
report, preliminary examination | report or results, or any matter relating
thereto, to the | insurance department of any other state or country or to law
| enforcement officials of this or any other state or agency of | the federal
government at any time, so long as the agency or | office receiving the
report or matters relating thereto agrees | in writing to hold it
confidential and in a manner consistent | with this Code.
| In the event the Director determines that regulatory | action is
appropriate as a result of any examination, he may | initiate any
proceedings or actions as provided by law.
| (f) Confidentiality of ancillary information. All working | papers,
recorded information, documents, and copies
thereof | produced by, obtained by, or disclosed to the Director or any | other
person in the course of any examination must be given | confidential
treatment, are not subject to subpoena, and may | not be made public by the
Director or any other persons, except | to the extent provided in subsection
(e). Access may also be | granted to the National Association of Insurance | Commissioners.
Those parties must agree in writing before |
| receiving the information to
provide to it the same | confidential treatment as required by this Section,
unless the | prior written consent of the company to which it pertains has | been obtained.
| This subsection (f) applies to market conduct examinations | described in Section 132 of this Code. | (g) Disclosure. Nothing contained in this Code shall | prevent or be construed as prohibiting the Director from | disclosing the information described in subsections (e) and | (f) to the Illinois Insurance Guaranty Fund regarding any | member company defined in Section 534.5 if the member company | has an authorized control level event as defined in Section | 35A-25. The Director may disclose the information described in | this subsection so long as the Fund agrees in writing to hold | that information confidential, in a manner consistent with | this Code, and uses that information to prepare for the | possible liquidation of the member company. Access to the | information disclosed by the Director to the Fund shall be | limited to the Fund's staff and its counsel. The Board of | Directors of the Fund may have access to the information | disclosed by the Director to the Fund once the member company | is subject to a delinquency proceeding under Article XIII | subject to any terms and conditions established by the | Director. | (Source: P.A. 100-475, eff. 1-1-18 .)
|
| (215 ILCS 5/547) (from Ch. 73, par. 1065.97)
| Sec. 547. Prevention of insolvencies. To aid in the | detection and prevention of company insolvencies:
| (a) The board of directors may, upon majority vote, make | recommendations
to the Director on matters pertaining to | regulation for solvency.
| (b) The board of directors may prepare a report on the | history and causes
of any company
insolvency in which the Fund | was obligated to pay covered claims, based on the
information | available to the Fund, and submit such report to the Director.
| (c) The Director may disclose to the Fund the information | described in subsection (g) of Section 132.5 as well as the | information described in subsection (c) of Section 131.22, and | the Fund may use that information to prepare for the possible | liquidation of a member company subject to the requirements | and restrictions set forth in Section 132.5. | (Source: P.A. 85-576.)
| Section 95. No acceleration or delay. Where this Act makes | changes in a statute that is represented in this Act by text | that is not yet or no longer in effect (for example, a Section | represented by multiple versions), the use of that text does | not accelerate or delay the taking effect of (i) the changes | made by this Act or (ii) provisions derived from any other | Public Act.
| Section 99. Effective date. This Act takes effect upon |
Effective Date: 5/27/2022
|