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118HR3061 | Aviation Security Checkpoint Technology Fund Act of 2023 | [
[
"L000598",
"Rep. LaLota, Nick [R-NY-1]",
"sponsor"
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[
"R000576",
"Rep. Ruppersberger, C. A. Dutch [D-MD-2]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3061 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3061
To amend title 49, United States Code, to establish an Aviation
Security Checkpoint Technology Fund in the Department of Homeland
Security to fund investments in aviation security checkpoint
technology, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Mr. LaLota (for himself and Mr. Ruppersberger) introduced the following
bill; which was referred to the Committee on Homeland Security
_______________________________________________________________________
A BILL
To amend title 49, United States Code, to establish an Aviation
Security Checkpoint Technology Fund in the Department of Homeland
Security to fund investments in aviation security checkpoint
technology, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Aviation Security Checkpoint
Technology Fund Act of 2023''.
SEC. 2. ESTABLISHMENT OF AVIATION SECURITY CHECKPOINT TECHNOLOGY FUND.
Section 44923 of title 49, United States Code, is amended--
(1) by redesignating subsection (i) as subsection (j); and
(2) by inserting after subsection (h) the following new
subsection:
``(i) Aviation Security Checkpoint Technology Fund.--
``(1) In general.--There is established within the
Department of Homeland Security a fund to be known as the
Aviation Security Checkpoint Technology Fund (in this
subsection referred to as the `ASCT Fund'). The second
$250,000,000 from fees received under section 44940(a)(1) in
each of fiscal years 2024 through 2028 shall be available to be
deposited in the ASCT Fund. The Administrator of the
Transportation Security Administration shall impose the fee
authorized by section 44940(a)(1) so as to collect not less
than $250,000,000 in each of such fiscal years for deposit into
the ASCT Fund. Amounts in the ASCT Fund shall be available
until expended to the Administrator of the Transportation
Security Administration to fund the procurement, deployment,
and sustainment of aviation security checkpoint technology.
``(2) TSA briefing.--Not later than 180 days after the date
of the enactment of this subsection and quarterly thereafter
for five years, the Administrator of the Transportation
Security Administration shall brief the Committee on Homeland
Security and the Committee on Appropriations of the House of
Representatives and the Committee on Commerce, Science, and
Transportation and the Committee on Appropriations of the
Senate regarding planned procurement, nationwide deployment,
and sustainment efforts of aviation security checkpoint
technology at airport checkpoints through amounts made
available from the ASCT Fund.''.
<all>
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118HR3062 | Chaco Cultural Heritage Area Protection Act of 2023 | [
[
"L000273",
"Rep. Leger Fernandez, Teresa [D-NM-3]",
"sponsor"
],
[
"S001218",
"Rep. Stansbury, Melanie Ann [D-NM-1]",
"cosponsor"
],
[
"V000136",
"Rep. Vasquez, Gabe [D-NM-2]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3062 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3062
To provide for the withdrawal and protection of certain Federal land in
the State of New Mexico, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Ms. Leger Fernandez (for herself, Ms. Stansbury, and Mr. Vasquez)
introduced the following bill; which was referred to the Committee on
Natural Resources
_______________________________________________________________________
A BILL
To provide for the withdrawal and protection of certain Federal land in
the State of New Mexico, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Chaco Cultural Heritage Area
Protection Act of 2023''.
SEC. 2. FINDINGS.
Congress finds that--
(1) there are archeological, sacred, and historic resources
located throughout the Greater Chaco region, which spans the
States of New Mexico, Arizona, Utah, and Colorado;
(2) the Chaco Culture National Historical Park, a unit of
the National Park System and a United Nations Educational,
Scientific and Cultural Organization World Heritage Site, is
known around the world--
(A) for multi-story buildings constructed by the
Chacoan people that are still standing; and
(B) as the nerve center of a culture that spread
throughout and dominated the Four Corners area during
the 9th, 10th, and 11th centuries;
(3) the Chacoan people built hundreds of miles of roads and
a network of villages, shrines, and communications sites, many
of which are still visible;
(4) many Pueblos and Indian Tribes in the Four Corners area
claim cultural affiliation with, and are descended from, the
Chacoan people;
(5) the landscape around the Chaco Culture National
Historical Park includes hundreds of internationally and
nationally significant cultural resources, including
prehistoric roads, communities, and shrines--
(A) many of which are related to the resources
found in the Chaco Culture National Historical Park,
including the resources recognized by the amendment
made by section 3 of the Chacoan Outliers Protection
Act of 1995 (16 U.S.C. 410ii note; Public Law 104-11)
providing for additional Chaco Culture Archeological
Protection Sites;
(B) a significant number of which are concentrated
within the immediate area surrounding the Chaco Culture
National Historical Park; and
(C) that are commonly recognized by archeologists;
(6) long considered one of the best places for stargazing
in the world, Chaco Culture National Historical Park--
(A) in 1991, established a night skies protection
initiative and interpretive program to protect the
night sky in the area of the Chaco Culture National
Historical Park; and
(B) in 2013, was certified as an International Dark
Sky Park;
(7) the Greater Chaco region extends beyond Chaco Culture
National Historical Park and encompasses--
(A) local communities, including the Pueblo Indian
Tribes, Navajo Nation, Hopi Tribe, and other Indian
Tribes; and
(B) public and private land, which includes
additional cultural resources and sacred sites;
(8) for over 110 years, the Federal Government has
recognized the importance of the area in which the Chacoan
people lived and has acted to protect historic and sacred sites
in the area, including--
(A) Chaco Canyon, which was designated as a
National Monument in 1907 and as the Chaco Culture
National Historical Park in 1980;
(B) the Aztec Ruins, which was designated as a
National Monument in 1923 and expanded in each of 1928,
1930, 1948, and 1988; and
(C) the 39 Chaco Culture Archeological Protection
Sites designated in 1995;
(9) recognizes that the standard for Tribal consultation is
outlined in Executive Order No. 13175 (25 U.S.C. 5301 note;
relating to consultation and coordination with Indian Tribal
governments);
(10) extensive natural gas development has occurred in the
Greater Chaco region that affect the health, safety, economies,
and quality of life of local communities;
(11) renewed interest in oil exploration and production
within the Mancos/Gallup Shale play has increased the potential
for--
(A) significant impacts on cultural and other
resources, the holistic experience of the sacred
landscape, and visitor experiences at the Chaco Culture
National Historical Park; and
(B) additional impacts on local communities in the
Greater Chaco region, including the Pueblo Indian
Tribes, Navajo Nation, Hopi Tribe, and other Indian
Tribes;
(12) a mineral withdrawal in the landscape around the Chaco
Culture National Historical Park would prevent leasing and
development on Federal land and of Federal minerals in the
immediate area surrounding the Chaco Culture National
Historical Park, which would protect resources and visitor
experiences at the Chaco Culture National Historical Park;
(13) additional studies and protective measures should be
undertaken to address health, safety, and environmental impacts
on communities and interests of the Pueblo Indian Tribes,
Navajo Nation, Hopi Tribe, and other Indian Tribes in the
Greater Chaco region; and
(14) the Greater Chaco region continues to be used for
ceremonial and cultural purposes by the Pueblo Indian Tribes,
Navajo Nation, Hopi Tribe, and other Indian Tribes.
SEC. 3. DEFINITIONS.
In this Act:
(1) Covered lease.--The term ``covered lease'' means any
oil and gas lease for Federal land--
(A) on which drilling operations have not been
commenced before the end of the primary term of the
applicable lease;
(B) that is not producing oil or gas in paying
quantities; and
(C) that is not subject to a valid cooperative or
unit plan of development or operation certified by the
Secretary to be necessary.
(2) Federal land.--
(A) In general.--The term ``Federal land'' means--
(i) any Federal land or interest in Federal
land that is within the boundaries of the Chaco
Cultural Heritage Withdrawal Area, as depicted
on the Withdrawal Map; and
(ii) any land or interest in land located
within the boundaries of the Chaco Cultural
Heritage Withdrawal Area, as depicted on the
Withdrawal Map, that is acquired by the Federal
Government after the date of enactment of this
Act.
(B) Exclusion.--The term ``Federal land'' does not
include trust land (as defined in section 3765 of title
38, United States Code).
(3) Secretary.--The term ``Secretary'' means the Secretary
of the Interior.
(4) Withdrawal map.--The term ``Withdrawal Map'' means the
map prepared by the Bureau of Land Management entitled
``Proposed Withdrawal Chaco Culture National Historic Park
Surrounding Area'' and dated January 6, 2022, as referred to in
the notice of the Secretary entitled ``Notice of Proposed
Withdrawal and Public Meetings; San Juan County, NM'' (87 Fed.
Reg. 785 (January 6, 2022)).
SEC. 4. WITHDRAWAL OF CERTAIN FEDERAL LAND IN THE STATE OF NEW MEXICO.
(a) In General.--Subject to any valid existing rights, the Federal
land is withdrawn from--
(1) all forms of entry, appropriation, and disposal under
the public land laws;
(2) location, entry, and patent under mining laws; and
(3) operation of the mineral leasing, mineral materials,
and geothermal leasing laws.
(b) Availability of Withdrawal Map.--The Withdrawal Map shall be
made available for inspection at each appropriate office of the Bureau
of Land Management.
(c) Conveyance of Federal Land to Indian Tribes.--Notwithstanding
subsection (a), the Secretary may convey the Federal land to, or
exchange the Federal land with, an Indian Tribe in accordance with a
resource management plan that is approved as of the date of enactment
of this Act, as subsequently developed, amended, or revised in
accordance with the Federal Land Policy and Management Act of 1976 (43
U.S.C. 1701 et seq.) and any other applicable law.
(d) Oil and Gas Lease Management.--
(1) Termination of non-producing leases.--A covered lease--
(A) shall automatically terminate by operation of
law pursuant to section 17(e) of the Mineral Leasing
Act (30 U.S.C. 226(e)) and subpart 3108 of title 43,
Code of Federal Regulations (or successor regulations);
and
(B) may not be extended by the Secretary.
(2) Withdrawal of terminated, relinquished, or acquired
leases.--Any portion of the Federal land subject to a covered
lease terminated under paragraph (1) or otherwise or
relinquished or acquired by the United States on or after the
date of enactment of this Act is withdrawn from--
(A) all forms of entry, appropriation, and disposal
under the public land laws;
(B) location, entry, and patent under mining laws;
and
(C) operation of the mineral leasing, mineral
materials, and geothermal leasing laws.
(e) Effect.--Nothing in this section--
(1) affects the mineral rights of an Indian Tribe or a
member of the Navajo Nation or any other Indian Tribe to trust
land or allotment land; or
(2) precludes improvements to, or rights-of-way for water,
power, utility, or road development on, the Federal land to
assist communities adjacent to or in the vicinity of the
Federal land.
<all>
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118HR3063 | Retirement Fairness for Charities and Educational Institutions Act of 2023 | [
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"N000193",... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3063 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3063
To amend the Federal securities laws to enhance 403(b) plans, and for
other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Mr. Lucas (for himself, Mr. Gottheimer, Mr. Foster, and Mr. Barr)
introduced the following bill; which was referred to the Committee on
Financial Services
_______________________________________________________________________
A BILL
To amend the Federal securities laws to enhance 403(b) plans, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Retirement Fairness for Charities
and Educational Institutions Act of 2023''.
SEC. 2. ENHANCEMENT OF 403(B) PLANS.
(a) Amendments to the Investment Company Act of 1940.--Section
3(c)(11) of the Investment Company Act of 1940 (15 U.S.C. 80a-3(c)(11))
is amended to read as follows:
``(11) Any--
``(A) employee's stock bonus, pension, or profit-
sharing trust which meets the requirements for
qualification under section 401 of the Internal Revenue
Code of 1986;
``(B) custodial account meeting the requirements of
section 403(b)(7) of such Code;
``(C) governmental plan described in section
3(a)(2)(C) of the Securities Act of 1933;
``(D) collective trust fund maintained by a bank
consisting solely of assets of one or more--
``(i) trusts described in subparagraph (A);
``(ii) government plans described in
subparagraph (C);
``(iii) church plans, companies, or
accounts that are excluded from the definition
of an investment company under paragraph (14)
of this subsection; or
``(iv) plans which meet the requirements of
section 403(b) of the Internal Revenue Code of
1986 if--
``(I) such plan is subject to title
I of the Employee Retirement Income
Security Act of 1974 (29 U.S.C. 1001 et
seq.);
``(II) any employer making such
plan available agrees to serve as a
fiduciary for the plan with respect to
the selection of the plan's investments
among which participants can choose; or
``(III) such plan is a governmental
plan (as defined in section 414(d) of
such Code); or
``(E) separate account the assets of which are
derived solely from--
``(i) contributions under pension or
profit-sharing plans which meet the
requirements of section 401 of the Internal
Revenue Code of 1986 or the requirements for
deduction of the employer's contribution under
section 404(a)(2) of such Code;
``(ii) contributions under governmental
plans in connection with which interests,
participations, or securities are exempted from
the registration provisions of section 5 of the
Securities Act of 1933 by section 3(a)(2)(C) of
such Act;
``(iii) advances made by an insurance
company in connection with the operation of
such separate account; and
``(iv) contributions to a plan described in
subparagraph (D)(iv).''.
(b) Amendments to the Securities Act of 1933.--Section 3(a)(2) of
the Securities Act of 1933 (15 U.S.C. 77c(a)(2)) is amended--
(1) by striking ``or (D)'' and inserting ``(D) a plan which
meets the requirements of section 403(b) of such Code if (i)
such plan is subject to title I of the Employee Retirement
Income Security Act of 1974 (29 U.S.C. 1001 et seq.), (ii) any
employer making such plan available agrees to serve as a
fiduciary for the plan with respect to the selection of the
plan's investments among which participants can choose, or
(iii) such plan is a governmental plan (as defined in section
414(d) of such Code); or (E)'';
(2) by striking ``(C), or (D)'' and inserting ``(C), (D),
or (E)''; and
(3) by striking ``(iii) which is a plan funded'' and
inserting ``(iii) in the case of a plan not described in
subparagraph (D), which is a plan funded''.
(c) Amendments to the Securities Exchange Act of 1934.--Section
3(a)(12)(C) of the Securities Exchange Act of 1934 (15 U.S.C.
78c(a)(12)(C)) is amended--
(1) by striking ``or (iv)'' and inserting ``(iv) a plan
which meets the requirements of section 403(b) of such Code if
(I) such plan is subject to title I of the Employee Retirement
Income Security Act of 1974 (29 U.S.C. 1001 et seq.), (II) any
employer making such plan available agrees to serve as a
fiduciary for the plan with respect to the selection of the
plan's investments among which participants can choose, or
(III) such plan is a governmental plan (as defined in section
414(d) of such Code), or (v)'';
(2) by striking ``(ii), or (iii)'' and inserting ``(ii),
(iii), or (iv)''; and
(3) by striking ``(II) is a plan funded'' and inserting
``(II) in the case of a plan not described in clause (iv), is a
plan funded''.
<all>
</pre></body></html>
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118HR3064 | District of Columbia Government Title Equality Act | [
[
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3064 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3064
To amend the District of Columbia Home Rule Act to redesignate the
Office of the Mayor of the District of Columbia as the Office of the
Governor of the District of Columbia and to redesignate the Council of
the District of Columbia as the Legislative Assembly of the District of
Columbia, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Ms. Norton introduced the following bill; which was referred to the
Committee on Oversight and Accountability
_______________________________________________________________________
A BILL
To amend the District of Columbia Home Rule Act to redesignate the
Office of the Mayor of the District of Columbia as the Office of the
Governor of the District of Columbia and to redesignate the Council of
the District of Columbia as the Legislative Assembly of the District of
Columbia, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``District of Columbia Government
Title Equality Act''.
SEC. 2. REDESIGNATION OF OFFICE OF MAYOR OF DISTRICT OF COLUMBIA AS
OFFICE OF GOVERNOR OF DISTRICT OF COLUMBIA.
(a) Redesignation.--Section 421(a) of the District of Columbia Home
Rule Act (sec. 1-204.21(a), D.C. Official Code) is amended to read as
follows:
``(a) There is established the Office of the Governor of the
District of Columbia, and the Governor shall be elected by the
registered qualified electors of the District.''.
(b) Treatment of Current Mayor.--For purposes of section 421(a) of
the District of Columbia Home Rule Act, as amended by subsection (a),
the individual holding the Office of Mayor of the District of Columbia
as of the date of the enactment of this Act shall be deemed to have
been elected to the Office of Governor of the District of Columbia by
the registered qualified electors of the District.
(c) References in Law.--Any reference to the Office of the Mayor of
the District of Columbia in any law, rule, or regulation of the United
States or the District of Columbia shall be deemed to refer to the
Office of the Governor of the District of Columbia, and any reference
to the Mayor of the District of Columbia in any law, rule, or
regulation of the United States or the District of Columbia shall be
deemed to refer to the Governor of the District of Columbia.
SEC. 3. REDESIGNATION OF COUNCIL OF DISTRICT OF COLUMBIA AS LEGISLATIVE
ASSEMBLY OF DISTRICT OF COLUMBIA.
(a) Redesignation.--Section 401(a) of the District of Columbia Home
Rule Act (sec. 1-204.01(a), D.C. Official Code) is amended to read as
follows:
``(a) There is established a Legislative Assembly of the District
of Columbia, consisting of Representatives who shall be elected by the
registered qualified electors of the District.''.
(b) Treatment of Current Members.--For purposes of section 401(a)
of the District of Columbia Home Rule Act, as amended by subsection
(a), any individual holding the Office of Member of the Council of the
District of Columbia as of the date of the enactment of this Act shall
be deemed to have been elected to the Office of Representative of the
Legislative Assembly of the District of Columbia by the registered
qualified electors of the District.
(c) References in Law.--Any reference to the Council of the
District of Columbia in any law, rule, or regulation of the United
States or the District of Columbia shall be deemed to refer to the
Legislative Assembly of the District of Columbia, and any reference to
a Member of the Council of the District of Columbia in any law, rule,
or regulation of the United States or the District of Columbia shall be
deemed to refer to a Representative of the Legislative Assembly of the
District of Columbia.
SEC. 4. REDESIGNATION OF CHAIR OF COUNCIL OF DISTRICT OF COLUMBIA AS
SPEAKER OF LEGISLATIVE ASSEMBLY OF DISTRICT OF COLUMBIA.
(a) Redesignation.--Section 411(a) of the District of Columbia Home
Rule Act (sec. 1-204.11(a) D.C. Official Code) is amended to read as
follows:
``(a) The Speaker of the Legislative Assembly of the District of
Columbia shall be the presiding officer of the Legislative Assembly.''.
(b) Treatment of Current Chair.--For purposes of section 411(a) of
the District of Columbia Home Rule Act, as amended by subsection (a),
the individual holding the Office of Chair of the Council of the
District of Columbia as of the date of the enactment of this Act shall
be deemed to have been elected to the Office of Speaker of the
Legislative Assembly of the District of Columbia by the registered
qualified electors of the District.
(c) References in Law.--Any reference to the Office of the Chair of
the Council of the District of Columbia in any law, rule, or regulation
of the United States or the District of Columbia shall be deemed to
refer to the Office of the Speaker of the Legislative Assembly of the
District of Columbia, and any reference to the Chair of the Council of
the District of Columbia in any law, rule, or regulation of the United
States or the District of Columbia shall be deemed to refer to the
Speaker of the Legislative Assembly of the District of Columbia.
<all>
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118HR3065 | School Access to Naloxone Act of 2023 | [
[
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[
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[
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[
"C001120",
... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3065 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3065
To amend the Public Health Service Act to provide funding for trained
school personnel to administer drugs and devices for emergency
treatment of known or suspected opioid overdose, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Mr. Phillips (for himself, Mr. Joyce of Ohio, Mr. Bacon, Ms. Craig, Mr.
Crenshaw, Mr. Fitzpatrick, Mr. Guest, Ms. Pettersen, Ms. Sherrill, Ms.
Spanberger, Mr. Tonko, Mr. Trone, and Ms. Wild) introduced the
following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To amend the Public Health Service Act to provide funding for trained
school personnel to administer drugs and devices for emergency
treatment of known or suspected opioid overdose, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``School Access to Naloxone Act of
2023''.
SEC. 2. GRANTS FOR REDUCING OPIOID OVERDOSE DEATHS.
(a) Use of Funds.--Section 544(c) of the Public Health Service Act
(42 U.S.C. 290dd-3(c)) is amended--
(1) in paragraph (1), by inserting ``or administering''
after ``prescribing''; and
(2) in paragraph (2), by inserting ``or on the
administration of'' after ``prescribing of''.
(b) Authorization of Appropriations.--Section 544(g) of the Public
Health Service Act (42 U.S.C. 290dd-3(g)) is amended by striking ``to
carry out this section'' and inserting ``to carry out this section and
section 544A''.
SEC. 3. GRANTS FOR REDUCING OPIOID OVERDOSE DEATHS IN ELEMENTARY AND
SECONDARY SCHOOLS.
Title V of the Public Health Service Act is amended by inserting
after section 544 of such Act (42 U.S.C. 290dd-3) the following:
``SEC. 544A. REDUCING OPIOID OVERDOSE DEATHS IN ELEMENTARY AND
SECONDARY SCHOOLS.
``(a) In General.--The Secretary may award grants to eligible
entities to provide for the administration, at public and private
elementary and secondary schools under the jurisdiction of the eligible
entity, of drugs and devices for emergency treatment of known or
suspected opioid overdose.
``(b) Applications.--To seek a grant under this section, an
eligible entity shall submit to the Secretary an application at such
time, in such manner, and containing--
``(1) the information required under section 544(b);
``(2) the certifications specified in subsection (c); and
``(3) such other information as the Secretary shall
require.
``(c) Certifications.--The certifications specified in this
subsection, with respect to each elementary school and secondary school
in the eligible entity's jurisdiction, are the following:
``(1) The school has in place a program under which the
school will permit trained personnel of the school to
administer drugs or devices for purposes of providing emergency
treatment of known or suspected opioid overdose.
``(2) The school will maintain a supply of such drugs and
devices in a location that is easily accessible to trained
personnel of the school for the purpose of administering such
drugs and devices.
``(3) The school has in place a plan for having on the
premises of the school during all operating hours one or more
individuals who are such trained personnel.
``(4) The State attorney general of the State in which the
school is located certifies that the State--
``(A) has reviewed any applicable civil liability
protection law to determine the application of such law
with regard to elementary and secondary school trained
personnel who may administer drugs and devices for
emergency treatment in the case of a known or suspected
opioid overdose; and
``(B) has concluded that such law provides adequate
civil liability protection applicable to such trained
personnel.
``(d) Definitions.--In this section:
``(1) The term `civil liability protection law' means a
State law offering legal protection to individuals who give aid
in an emergency to an individual who is ill, in peril, or
otherwise incapacitated.
``(2) The term `eligible entity' has the meaning given to
such term in section 544.
``(3) The term `trained personnel' means, with respect to
an elementary or secondary school, an individual--
``(A) who is a school nurse or other individual
designated by the principal or other appropriate
administrative staff of the school to administer drugs
or devices for emergency treatment in the case of a
known or suspected opioid overdose;
``(B) who has received training in the
administration of such drugs or devices; and
``(C) whose training in the administration of such
drugs or devices meets appropriate medical standards
and has been documented by appropriate administrative
staff of the school.''.
<all>
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118HR3066 | PREPARE Act | [
[
"P000599",
"Rep. Posey, Bill [R-FL-8]",
"sponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3066 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3066
To establish the National Commission on the COVID-19 Pandemic, and for
other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Mr. Posey introduced the following bill; which was referred to the
Committee on Energy and Commerce, and in addition to the Committees on
Financial Services, and Transportation and Infrastructure, for a period
to be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To establish the National Commission on the COVID-19 Pandemic, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Pandemics Require Evaluating,
Planning, and Responding Effectively Act'' or the ``PREPARE Act''.
SEC. 2. ESTABLISHMENT OF COMMISSION.
There is established in the legislative branch the National
Commission on the COVID-19 Pandemic (in this Act referred to as the
``Commission'').
SEC. 3. PURPOSES.
The purposes of the Commission are to--
(1) examine and report upon the facts and causes relating
to the COVID-19 pandemic that resulted from the global spread
of the SARS-CoV-2 virus, from Wuhan, China;
(2) ascertain, evaluate, and report on the evidence
developed by all relevant governmental agencies regarding the
facts and circumstances surrounding the pandemic and the
emergence of SARS-CoV-2;
(3) build upon the investigations of other entities, and
avoid unnecessary duplication by critically reviewing the
findings, conclusions, and recommendations of executive branch,
congressional, or independent commission investigations into
the COVID-19 pandemic while adopting only the findings,
conclusions and recommendations of such investigations as the
Commission shall find accurate and unbiased;
(4) make a full and complete accounting of the
circumstances surrounding the pandemic, and the extent of the
United States preparedness for, and immediate response to, the
pandemic; and
(5) investigate and report to the President and Congress on
its findings, conclusions, and recommendations for corrective
measures that can be taken to prevent, better prepare for, and
respond to pandemics.
SEC. 4. CONSIDERATIONS.
In carrying out its duties in furtherance of the purposes specified
in section 2, the Commission shall consider the following:
(1) Compiling a full and complete accounting of the
circumstances surrounding the emergence of the 2019 novel
coronavirus, the Nation's preparedness for the 2019 novel
coronavirus pandemic, and the actions taken by Federal, State,
local, Tribal, and territorial governments at critical
junctures before and after the World Health Organization
designated the 2019 novel coronavirus as a public health
emergency of international concern on January 30, 2020.
(2) Evaluating the effectiveness of United States public
health reconnaissance and intelligence in recognizing the
COVID-19 pandemic at its source and effectively mobilizing the
nation to meet the challenge of the pandemic.
(3) Identifying biological collaborations among government,
private, non-profit, not-for-profit entities, and other
scientific communities, evaluating the manner in which such
collaborations can increase the risk of accidental releases of
harmful pathogens, and making recommendations that will
decrease such risks.
(4) Identifying the lead person or agency of the Federal
Government responsible for conducting the reconnaissance and
intelligence in paragraph (1) and evaluating the performance of
this entity and the efficacy of the assignment of such lead to
this entity.
(5) Articulating the policy objectives of the Federal
Government in preparing, responding to and recovering from a
pandemic and the performance metrics and standards to evaluate
contributions to the overall objectives as articulated.
(6) Identifying the current agency of the Federal
Government with the lead for pandemic preparedness and
response.
(7) Evaluating the integration of the pandemic planning
into the National Preparedness System and other preparedness
activities throughout the Federal Government.
(8) Evaluating the performance of the Federal, State, and
local governments in preparing for and responding to the COVID-
19 declared emergency within the context of the National
Preparedness System.
(9) Assessing of the assignment of roles and
responsibilities among Federal, State, and local governments in
preparing for, responding to and recovering from the COVID-19
pandemic.
(10) Evaluating of the performance of an all-hazard
preparedness and response system in meeting the challenges of
the COVID-19 emergency and whether actions should be taken to
adapt preparedness and response to unique circumstances related
to pandemics.
(11) Evaluating whether the identification of lead person
or agency for pandemic preparedness is clear and effective and
whether the lead for pandemic preparedness and response
requires consolidation or should be reassigned to an
alternative agency.
(12) Examining ways to improve integration and coordination
of preparedness and responses to pandemics at all levels of
government, Federal, State, and local.
(13) Evaluating the resilience of production responses to
the COVID-19 crisis particularly those related medicines,
medical equipment, protective equipment and other medical
supplies and the role of the Federal and other governments in
responding to supply chain needs for pandemics.
(14) Identifying and evaluating the degree of reliance of
the United States on vulnerable supply chains for medicines,
medical equipment, protective equipment and other medical
supplies necessary to prepare for and respond to a pandemic and
all reasonable alternatives for mitigating such vulnerabilities
in future pandemics.
(15) Evaluating the contribution of the Defense Production
Act in the COVID-19 emergency and whether this law should be
amended to improve pandemic preparedness and response.
(16) Evaluating the National Stockpile in preparing for and
responding to pandemics, the performance of the National
Stockpile in responding to the COVID-19 emergency, and all
reasonable alternatives improving the management and
contributions of the Stockpile in preparing for and responding
to future pandemics.
(17) Evaluating the role of the Federal Government in
developing and approving surveillance, testing, treatments,
therapeutics and vaccines for COVID-19 and all reasonable
alternatives to improve the development of therapeutics and
vaccines in future pandemics.
(18) Evaluating the Federal, State, and local response to
the COVID-19 emergency related to ensuring adequate national
surge capacity infrastructure in hospitals and medical centers
and alternatives for improving such preparedness and response
to ensure adequate capacity in future pandemics.
(19) Identifying and evaluating the array of public health
interventions at the Federal, State, and local levels,
including mask orders, social distancing practices, stay-at-
home directives, school and business closures, and other
measures, implemented in response to the COVID-19 emergency and
evaluating all reasonable alternatives for improving such
public health responses in future pandemics with a due
consideration of the economic and other public health costs and
tradeoffs associated with such measures.
(20) Evaluating the performance of financial markets and
regulators during the COVID-19 emergency.
(21) Evaluating the overall efficacy of the Federal
economic response to the COVID-19 emergency and recommendations
for modifying those responses to improve preparedness and
response to future pandemics.
(22) Any other feature of the COVID-19 emergency that would
improve the prevention, preparedness and response to future
pandemic emergencies.
SEC. 5. COMPOSITION OF COMMISSION.
(a) Members.--The Commission shall be composed of 10 members, of
whom--
(1) 1 member shall be appointed by the President, who shall
serve as chairperson of the Commission;
(2) 1 member shall be appointed by the leader of the Senate
whose political party is other than the political party of the
President (regardless of whether such individual is the
majority or minority leader), in consultation with the leader
of the House of Representatives whose political party is other
than the political party of the President (regardless of
whether such individual is the Speaker of the House of
Representatives or the minority leader), who shall serve as
vice chairperson of the Commission;
(3) 2 members shall be appointed by the senior member of
the majority leadership of the Senate;
(4) 2 members shall be appointed by the senior member of
the majority leadership of the House of Representatives;
(5) 2 members shall be appointed by the senior member of
the minority leadership of the Senate; and
(6) 2 members shall be appointed by the senior member of
the minority leadership of the House of Representatives.
(b) Qualifications; Initial Meeting.--
(1) Political party affiliation.--Each major political
party shall be represented by not fewer than five members of
the Commission.
(2) Nongovernmental appointees.--An individual appointed to
the Commission may not be an officer or employee of the Federal
Government or any State or local government.
(3) Other qualifications.--It is the sense of Congress that
individuals appointed to the Commission should be prominent
United States citizens, with national recognition and
significant depth of experience in such professions as
governmental service, science, health, law, public
administration, intelligence gathering, commerce, logistics,
and foreign affairs.
(4) No conflicts of interest.--An individual appointed to
the Commission may not have a conflict of interest with respect
to any potential issue or inquiry that may come within the
purview of the Commission consistent with Federal law relating
to conflicts-of-interest and congressional ethics rules.
(5) Deadline for appointment.--All members of the
Commission shall be appointed not later than 90 days after the
date of the enactment of this Act.
(6) Initial meeting.--The Commission shall meet and begin
the operations of the Commission as soon as practicable.
(c) Quorum; Vacancies.--After its initial meeting, the Commission
shall meet upon the call of the chairman or a majority of its members.
Six members of the Commission shall constitute a quorum. Any vacancy in
the Commission shall not affect its powers, but shall be filled in the
same manner in which the original appointment was made.
SEC. 6. FUNCTIONS OF COMMISSION.
The functions of the Commission are to--
(1) conduct an investigation that--
(A) investigates relevant facts and circumstances
relating to the COVID-19 pandemic, including any
relevant legislation, Executive order, regulation,
plan, policy, scientific research, practice, or
procedure; and
(B) includes relevant facts and circumstances
relating to--
(i) scientific and public health research;
(ii) public and private scientific
organizations;
(iii) charitable organizations;
(iv) academic organizations;
(v) economic, education, scientific and
commercial institutions;
(vi) healthcare, public health policies,
and pandemic preparedness;
(vii) the role of congressional oversight
and resource allocation; and
(viii) other areas of the public and
private sectors determined relevant by the
Commission for its inquiry;
(2) identify, review, and evaluate the lessons learned from
the COVID-19 pandemic from how the virus emerged and spread to
the ongoing response efforts, regarding the structure,
coordination, management policies, and procedures of the
Federal Government, and, where appropriate, State and local
governments, nongovernmental entities and international
organizations, relative to detecting, preventing, and
responding to such disease events; and
(3) submit to the President and Congress such reports as
are required by this title containing such findings,
conclusions, and recommendations as the Commission shall
determine, including proposing organization, coordination,
planning, management arrangements, procedures, rules, and
regulations.
SEC. 7. POWERS OF COMMISSION.
(a) In General.--
(1) Hearings and evidence.--The Commission or, on the
authority of the Commission, any subcommittee or member
thereof, may, for the purpose of carrying out this title--
(A) hold such hearings and sit and act at such
times and places, take such testimony, receive such
evidence, administer such oaths; and
(B) subject to paragraph (2)(A), require, by
subpoena or otherwise, the attendance and testimony of
such witnesses and the production of such books,
records, correspondence, memoranda, papers, and
documents, as the Commission or such designated
subcommittee or designated member may determine
advisable.
(2) Subpoenas.--
(A) Issuance.--
(i) In general.--A subpoena may be issued
under this subsection only--
(I) by the agreement of the
chairman and the vice chairman; or
(II) by the affirmative vote of 6
members of the Commission.
(ii) Signature.--Subject to clause (i),
subpoenas issued under this subsection may be
issued under the signature of the chairman or
any member designated by a majority of the
Commission, and may be served by any person
designated by the chairman or by a member
designated by a majority of the Commission.
(B) Enforcement.--
(i) In general.--In the case of contumacy
or failure to obey a subpoena issued under
subsection (a), the United States district
court for the judicial district in which the
subpoenaed person resides, is served, or may be
found, or where the subpoena is returnable, may
issue an order requiring such person to appear
at any designated place to testify or to
produce documentary or other evidence. Any
failure to obey the order of the court may be
punished by the court as a contempt of that
court.
(ii) Additional enforcement.--In the case
of any failure of any witness to comply with
any subpoena or to testify when summoned under
authority of this section, the Commission may,
by majority vote, certify a statement of fact
constituting such failure to the appropriate
United States attorney, who may bring the
matter before the grand jury for its action,
under the same statutory authority and
procedures as if the United States attorney had
received a certification under sections 102
through 104 of the Revised Statutes of the
United States (2 U.S.C. 192 through 194).
(b) Contracting.--The Commission may, to such extent and in such
amounts as are provided in appropriation Acts, enter into contracts to
enable the Commission to discharge its duties under this title.
(c) Information From Federal Agencies.--
(1) In general.--The Commission is authorized to secure
directly from any executive department, bureau, agency, board,
commission, office, independent establishment, or
instrumentality of the Government, information, suggestions,
estimates, and statistics for the purposes of this title. Each
department, bureau, agency, board, commission, office,
independent establishment, or instrumentality shall, to the
extent authorized by law, furnish such information,
suggestions, estimates, and statistics directly to the
Commission, upon request made by the chairman, the chairman of
any subcommittee created by a majority of the Commission, or
any member designated by a majority of the Commission.
(2) Receipt, handling, storage, and dissemination.--
Information shall only be received, handled, stored, and
disseminated by members of the Commission and its staff
consistent with all applicable statutes, regulations, and
Executive orders.
(d) Assistance From Federal Agencies.--
(1) General services administration.--The Administrator of
General Services shall provide to the Commission on a
reimbursable basis administrative support and other services
for the performance of the Commission's functions.
(2) Other departments and agencies.--In addition to the
assistance prescribed in paragraph (1), departments and
agencies of the United States may provide to the Commission
such services, funds, facilities, staff, and other support
services as they may determine advisable and as may be
authorized by law.
(e) Gifts.--The Commission may accept, use, and dispose of gifts or
donations of services or property.
(f) Postal Services.--The Commission may use the United States
mails in the same manner and under the same conditions as departments
and agencies of the United States.
SEC. 8. NONAPPLICABILITY OF FEDERAL ADVISORY COMMITTEE REQUIREMENTS.
(a) In General.--Chapter 10, of part I of title 5, United States
Code, shall not apply to the Commission.
(b) Public Meetings.--
(1) Each Commission meeting shall be open to the public.
(2) Except when the Commission determines otherwise for
reasons of national security, timely notice of each such
meeting shall be published in the Federal Register, and the
Commission shall publish procedures to provide for other types
of public notice to ensure that all interested persons are
notified of such meeting prior thereto.
(3) Interested persons shall be permitted to attend, appear
before, or file statements with the Commission, subject to such
reasonable procedures as the Commission may prescribe and
publish.
(c) Records.--
(1) Maintenance of records.--The Commission shall maintain
and dispose of all records related to the Commission, its
meeting and general business in accordance with statutes
governing the maintenance and disposition of records that apply
to any agency of the Federal government.
(2) Public access.--In accordance with procedures to be
adopted and published by the Commission, the records, reports,
transcripts, minutes, appendixes, working papers, drafts,
studies, agenda, or other documents which were made available
to or prepared for or by the Commission shall be available for
public inspection and copying at a single location in the
offices of the Commission until the Commission ceases to exist
and, after the termination of the Commission, such records
shall be transferred to the National Archives and Records
Administration.
(3) Exemptions.--The requirement for public access under
paragraph (2) shall not apply to records that are--
(A) specifically authorized under criteria
established by an Executive order to be kept secret in
the interest of national defense or foreign policy and
are in fact properly classified pursuant to such
Executive order;
(B) related solely to the internal personnel rules
and practices of any Federal agency;
(C) specifically exempted from disclosure by
statute, if that statute--
(i) requires that the matters be withheld
from the public in such a manner as to leave no
discretion on the issue; or
(ii) establishes particular criteria for
withholding or refers to particular types of
matters to be withheld;
(D) trade secrets and commercial or financial
information obtained from a person and privileged or
confidential;
(E) inter-agency or intra-agency memorandums or
letters that would not be available by law to a party
other than an agency including the Commission in
litigation with the agency, provided that the
deliberative process privilege shall not apply to
records created 25 years or more before the date on
which the records were requested;
(F) personnel and medical files and similar files
the disclosure of which would constitute a clearly
unwarranted invasion of personal privacy;
(G) records or information compiled for law
enforcement purposes, but only to the extent that the
production of such law enforcement records or
information--
(i) could reasonably be expected to
interfere with enforcement proceedings;
(ii) would deprive a person of a right to a
fair trial or an impartial adjudication;
(iii) could reasonably be expected to
constitute an unwarranted invasion of personal
privacy;
(iv) could reasonably be expected to
disclose the identity of a confidential source,
including a State, local, or foreign agency or
authority or any private institution which
furnished information on a confidential basis,
and, in the case of a record or information
compiled by criminal law enforcement authority
in the course of a criminal investigation or by
an agency conducting a lawful national security
intelligence investigation, information
furnished by a confidential source;
(v) would disclose techniques and
procedures for law enforcement investigations
or prosecutions, or would disclose guidelines
for law enforcement investigations or
prosecutions if such disclosure could
reasonably be expected to risk circumvention of
the law; or
(vi) could reasonably be expected to
endanger the life or physical safety of any
individual;
(H) contained in or related to examination,
operating, or condition reports prepared by, on behalf
of, or for the use of an agency responsible for the
regulation or supervision of financial institutions; or
(I) geological and geophysical information and
data, including maps, concerning wells.
Any reasonably segregable portion of a record shall be provided
to any person requesting such record after deletion of the
portions which are exempt under this subsection. The amount of
information deleted, and the exemption under which the deletion
is made, shall be indicated on the released portion of the
record, unless including that indication would harm an interest
protected by the exemption in this subsection under which the
deletion is made. If technically feasible, the amount of the
information deleted, and the exemption under which the deletion
is made, shall be indicated at the place in the record where
such deletion is made.
(4) Construction.--Nothing in paragraph (3) shall be
construed as imposing any limitation whatsoever on the scope or
subject matter of the Commission's inquiry. The Commission
shall arrange for secure access to all Commission records and a
comprehensive Commission report without redaction by any Member
of Congress or authorized individual with a required security
clearance in appropriately secure facilities.
(d) Public Hearings.--Any public hearings of the Commission shall
be conducted in a manner consistent with the protection of information
provided to or developed for or by the Commission as required by any
applicable statute, regulation, or Executive order.
SEC. 9. STAFF OF COMMISSION.
(a) In General.--
(1) Appointment and compensation.--The chairman, in
consultation with the vice chairman, in accordance with rules
agreed upon by the Commission, may appoint and fix the
compensation of a staff director and such other personnel as
may be necessary to enable the Commission to carry out its
functions, without regard to the provisions of title 5, United
States Code, governing appointments in the competitive service,
and without regard to the provisions of chapter 51 and
subchapter III of chapter 53 of such title relating to
classification and General Schedule pay rates, except that no
rate of pay fixed under this subsection may exceed the
equivalent of that payable for a position at level V of the
Executive Schedule under section 5316 of title 5, United States
Code.
(2) Personnel as federal employees.--
(A) In general.--The executive director and any
personnel of the Commission who are employees shall be
employees under section 2105 of title 5, United States
Code, for purposes of chapters 63, 81, 83, 84, 85, 87,
89, and 90 of that title.
(B) Members of commission.--Subparagraph (A) shall
not be construed to apply to members of the Commission.
(b) Detailees.--Any Federal Government employee may be detailed to
the Commission without reimbursement from the Commission, and such
detailee shall retain the rights, status, and privileges of his or her
regular employment without interruption.
(c) Consultant Services.--The Commission is authorized to procure
the services of experts and consultants in accordance with section 3109
of title 5, United States Code, but at rates not to exceed the daily
rate paid a person occupying a position at level IV of the Executive
Schedule under section 5315 of title 5, United States Code.
(d) Conflicts of Interest.--All individuals whose services are
rendered to the Commission will be free from any financial, academic,
personal, or professional conflicts of interest which may interfere
with the work of the Commission.
SEC. 10. COMPENSATION AND TRAVEL EXPENSES.
(a) Compensation.--Each member of the Commission may be compensated
at not to exceed the daily equivalent of the annual rate of basic pay
in effect for a position at level IV of the Executive Schedule under
section 5315 of title 5, United States Code, for each day during which
that member is engaged in the actual performance of the duties of the
Commission.
(b) Travel Expenses.--While away from their homes or regular places
of business in the performance of services for the Commission, members
of the Commission shall be allowed travel expenses, including per diem
in lieu of subsistence, in the same manner as persons employed
intermittently in the Government service are allowed expenses under
section 5703(b) of title 5, United States Code.
SEC. 11. SECURITY CLEARANCES FOR COMMISSION MEMBERS AND STAFF.
The appropriate Federal agencies or departments shall cooperate
with the Commission in expeditiously providing to the Commission
members and staff appropriate security clearances to the extent
possible pursuant to existing procedures and requirements, except that
no person shall be provided with access to classified information under
this title without the appropriate security clearances.
SEC. 12. REPORTS OF COMMISSION; TERMINATION.
(a) Interim Reports.--The Commission may submit to the President
and Congress interim reports containing such findings, conclusions, and
recommendations for corrective measures as have been agreed to by a
majority of Commission members.
(b) Final Report.--Not later than 18 months after the date of the
enactment of this Act, the Commission shall submit to the President and
Congress a final report containing such findings, conclusions, and
recommendations for corrective measures as have been agreed to by a
majority of Commission members.
(c) Termination.--
(1) In general.--The Commission, and all the authorities of
this title, shall terminate 60 days after the date on which the
final report is submitted under subsection (b).
(2) Administrative activities before termination.--The
Commission may use the 60-day period referred to in paragraph
(1) for the purpose of concluding its activities, including
providing testimony to committees of Congress concerning its
reports and disseminating the final report.
SEC. 13. FUNDING.
(a) Authorization of Appropriations.--There is authorized to be
appropriated to the Commission such sums as may be necessary for any
fiscal year, half of which shall be derived from the applicable account
of the House of Representatives, and half of which shall be derived
from the contingent fund of the Senate.
(b) Duration of Availability.--Amounts made available to the
Commission under paragraph (a) shall remain available until the
termination of the Commission.
(c) Notice.--The chair shall promptly notify Congress if the chair
determines that the amounts made available to the Commission under
subsection (a) are insufficient for the Commission to carry out its
duties.
<all>
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118HR3067 | CASES Act of 2023 | [
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[From the U.S. Government Publishing Office]
[H.R. 3067 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3067
To provide for the imposition of sanctions with respect to certain
officials of Argentina.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Ms. Salazar (for herself, Mr. Gimenez, Mr. Lawler, and Mrs. Gonzalez-
Colon) introduced the following bill; which was referred to the
Committee on the Judiciary
_______________________________________________________________________
A BILL
To provide for the imposition of sanctions with respect to certain
officials of Argentina.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Corruption in Argentina Stymied by
Enforcing Sanctions Act of 2023'' or the ``CASES Act of 2023''.
SEC. 2. IMPOSITION OF SANCTIONS WITH RESPECT TO CERTAIN OFFICIALS OF
ARGENTINA.
(a) Report Required.--Not later than 180 days after the date of the
enactment of this Act, and annually thereafter, the Secretary of State
shall submit to Congress a report with respect to each individual
specified in subsection (c) that includes--
(1) a description of the assets of the individual,
including--
(A) the estimated net worth of the individual;
(B) the estimated net worth of the immediate family
members of the individual; and
(C) a description of all of the individual's real,
personal, and intellectual property, bank or investment
or similar accounts, and any other financial or
business interests or holdings, whether obtained
legitimately or illegitimately; and
(2) a determination with respect to whether the individual
meets the criteria for the imposition of sanctions under
section 7031(c) of the Department of State, Foreign Operations,
and Related Programs Appropriations Act, 2023 (division K of
Public Law 117-328).
(b) Imposition of Sanctions.--If the President makes an affirmative
determination under subsection (a)(2) with respect to an individual,
the President shall impose sanctions under section 7031(c) of the
Department of State, Foreign Operations, and Related Programs
Appropriations Act, 2023, with respect to the individual.
(c) Individuals Specified.--The individuals specified in this
subsection are the following:
(1) Cristina Elisabet Fernandez de Kirchner, born on
February 19, 1953, in La Plata, Buenos Aires, Argentina.
(2) Maximo Kirchner, born on February 2, 1977, in La Plata,
Buenos Aires, Argentina.
(3) Juan Martin Mena, born on February 25, 1979, in Mar del
Plata, Buenos Aires, Argentina.
(4) Oscar Isidro Jose Parrilli, born on August 13, 1951, in
San Martin de Los Andes, Neuquen, Argentina.
(5) Carlos Alberto Zannini, born on August 27, 1954, in
Villa Nueva, Cordoba, Argentina.
<all>
</pre></body></html>
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118HR3068 | Equal Health Care for All Act | [
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"G0... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3068 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3068
To prohibit discrimination in health care and require the provision of
equitable health care, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Mr. Schiff (for himself, Ms. Brown, Ms. Bush, Ms. Clarke of New York,
Mr. Grijalva, Ms. Norton, Ms. Lee of California, Mr. Mullin, Mr.
Nadler, Mr. Payne, Mr. Quigley, Ms. Scanlon, Ms. Sewell, Mr. Smith of
Washington, Mr. Takano, Mr. Thompson of Mississippi, Ms. Velazquez,
Mrs. Watson Coleman, and Mr. Johnson of Georgia) introduced the
following bill; which was referred to the Committee on Energy and
Commerce, and in addition to the Committee on Ways and Means, for a
period to be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To prohibit discrimination in health care and require the provision of
equitable health care, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Equal Health Care for All Act''.
SEC. 2. FINDINGS.
Congress finds the following:
(1) In 1966, Dr. Martin Luther King, Jr., said ``Of all the
forms of inequality, injustice in health care is the most
shocking and inhuman because it often results in physical
death.''.
(2) Inequity in health care remains a persistent and
devastating reality for many communities, but, in particular,
communities of color.
(3) The provision of inequitable health care has complex
causes, many stemming from systemic inequality in access to
health care, housing, nutrition, economic opportunity,
education, and other factors.
(4) Health care outcomes for Black communities in
particular lag far behind those of the population as a whole.
(5) Dr. Anthony Fauci, Director of the National Institute
of Allergy and Infectious Diseases, said on April 7, 2020, the
coronavirus outbreak is ``shining a bright light'' on
``unacceptable'' health disparities in the Black community.
(6) A contributing factor in health disparities is explicit
and implicit bias in the delivery of health care, resulting in
inferior care and poorer outcomes for some patients on the
basis of factors including race, national origin, sex
(including sexual orientation or gender identity), disability,
age, or religion.
(7) The National Academy of Medicine (formerly known as the
``Institute of Medicine'') issued a report in 2002 titled
``Unequal Treatment'', finding that racial and ethnic
minorities receive lower-quality health care than Whites do,
even when insurance status, income, age, and severity of
condition is comparable.
(8) Just as Congress has sought to eliminate bias, both
explicit and implicit, in employment, housing, and other parts
of our society, the elimination of bias and the legacy of
structural racism in health care is of paramount importance.
SEC. 3. DATA COLLECTION AND REPORTING.
(a) Required Reporting.--
(1) In general.--The Secretary of Health and Human
Services, in consultation with the Director of Civil Rights and
Health Equity, the Director of the National Institutes of
Health, the Administrator of the Center for Medicare & Medicaid
Services, the Director of the Agency for Healthcare Research
and Quality, the Deputy Assistant Secretary for Minority
Health, and the Director of the Centers for Disease Control and
Prevention, shall by regulation require all health care
providers and facilities that are required under other
provisions of law to report data on specific health outcomes to
the Department of Health and Human Services in aggregate form,
to disaggregate such data by demographic characteristics,
including by race, national origin, sex (including sexual
orientation and gender identity), disability, and age, as well
as any other factor that the Secretary determines would be
useful for determining a pattern of provision of inequitable
health care.
(2) Proposed regulations.--Not later than 90 days after the
date of enactment of this Act, the Secretary of Health and
Human Services shall issue proposed regulations to carry out
paragraph (1).
(b) Repository.--The Secretary of Health and Human Services shall--
(1) not later than 1 year after the date of enactment of
this Act, establish a repository of the disaggregated data
reported pursuant to subsection (a);
(2) subject to paragraph (3), make the data in such
repository publicly available; and
(3) ensure that such repository does not contain any data
that is individually identifiable.
SEC. 4. REQUIRING EQUITABLE HEALTH CARE IN THE HOSPITAL VALUE-BASED
PURCHASING PROGRAM.
(a) Equitable Health Care as Value Measurement.--Section
1886(b)(3)(B)(viii) of the Social Security Act (42 U.S.C.
1395ww(b)(3)(B)(viii)) is amended by adding at the end the following
new subclause:
``(XIII)(aa) Effective for payments beginning with fiscal year
2025, in expanding the number of measures under subclause (III), the
Secretary shall adopt measures that relate to equitable health care
furnished by hospitals in inpatient settings.
``(bb) In carrying out this subclause, the Secretary shall solicit
input and recommendations from individuals and groups representing
communities of color and other protected classes and ensure measures
adopted pursuant to this subclause account for social determinants of
health, as defined in section 7(e)(10) of the Equal Health Care for All
Act.
``(cc) For purposes of this subclause, the term `equitable health
care' refers to the principle that high-quality care should be provided
to all individuals and health care treatment and services should not
vary on account of the real or perceived race, national origin, sex
(including sexual orientation and gender identity), disability, or age
of an individual, as well as any other factor that the Secretary
determines would be useful for determining a pattern of provision of
inequitable health care.''.
(b) Inclusion of Equitable Health Care Measures.--Section
1886(o)(2)(B) of the Social Security Act (42 U.S.C. 1395ww(o)(2)(B)) is
amended by adding at the end the following new clause:
``(iv) Inclusion of equitable health care
measures.--Beginning in fiscal year 2025,
measures selected under subparagraph (A) shall
include the equitable health care measures
described in subsection
(b)(3)(B)(viii)(XIII).''.
SEC. 5. PROVISION OF INEQUITABLE HEALTH CARE AS A BASIS FOR PERMISSIVE
EXCLUSION FROM MEDICARE AND STATE HEALTH CARE PROGRAMS.
Section 1128(b) of the Social Security Act (42 U.S.C. 1320a-7(b))
is amended by adding at the end the following new paragraph:
``(18) Provision of inequitable health care.--
``(A) In general.--Subject to subparagraph (B), any
health care provider that the Secretary determines has
engaged in a pattern of providing inequitable health
care (as defined in section 7(e)(7) of the Equal Health
Care for All Act) on the basis of race, national
origin, sex (including sexual orientation and gender
identity), disability, or age of an individual.
``(B) Exception.--For purposes of carrying out
subparagaph (A), the Secretary shall not exclude any
health care provider from participation in the Medicare
program under title XVIII of the Social Security Act or
the Medicaid program under title XIX of such Act if the
exclusion of such health care provider would result in
increased difficulty in access to health care services
for underserved or low-income communities.''.
SEC. 6. OFFICE FOR CIVIL RIGHTS AND HEALTH EQUITY OF THE DEPARTMENT OF
HEALTH AND HUMAN SERVICES.
(a) Name of Office.--Beginning on the date of enactment of this
Act, the Office for Civil Rights of the Department of Health and Human
Services shall be known as the ``Office for Civil Rights and Health
Equity'' of the Department of Health and Human Services. Any reference
to the Office for Civil Rights of the Department of Health and Human
Services in any law, regulation, map, document, record, or other paper
of the United States shall be deemed to be a reference to the Office
for Civil Rights and Health Equity.
(b) Head of Office.--The head of the Office for Civil Rights and
Health Equity shall be the Director for Civil Rights and Health Equity,
to be appointed by the President. Any reference to the Director of the
Office for Civil Rights of the Department of Health and Human Services
in any law, regulation, map, document, record, or other paper of the
United States shall be deemed to be a reference to the Director for
Civil Rights and Health Equity.
SEC. 7. PROHIBITING DISCRIMINATION IN HEALTH CARE.
(a) Prohibiting Discrimination.--
(1) In general.--No health care provider may, on the basis,
in whole or in part, of race, sex (including sexual orientation
and gender identity), disability, age, or religion, subject an
individual to the provision of inequitable health care.
(2) Notice of patient rights.--The Secretary shall provide
to each patient a notice of a patient's rights under this
section.
(b) Administrative Complaint and Conciliation Process.--
(1) Complaints and answers.--
(A) In general.--An aggrieved person may, not later
than 1 year after an alleged violation of subsection
(a) has occurred or concluded, file a complaint with
the Director alleging inequitable provision of health
care by a provider described in subsection (a).
(B) Complaint.--A complaint submitted pursuant to
subparagraph (A) shall be in writing and shall contain
such information and be in such form as the Director
requires.
(C) Oath or affirmation.--The complaint and any
answer made under this subsection shall be made under
oath or affirmation, and may be reasonably and fairly
modified at any time.
(2) Response to complaints.--
(A) In general.--Upon the filing of a complaint
under this subsection, the following procedures shall
apply:
(i) Complainant notice.--The Director shall
serve notice upon the complainant acknowledging
receipt of such filing and advising the
complainant of the time limits and procedures
provided under this section.
(ii) Respondent notice.--The Director
shall, not later than 30 days after receipt of
such filing--
(I) serve on the respondent a
notice of the complaint, together with
a copy of the original complaint; and
(II) advise the respondent of the
procedural rights and obligations of
respondents under this section.
(iii) Answer.--The respondent may file, not
later than 60 days after receipt of the notice
from the Director, an answer to such complaint.
(iv) Investigative duties.--The Director
shall--
(I) make an investigation of the
alleged inequitable provision of health
care; and
(II) complete such investigation
within 180 days (unless it is
impracticable to complete such
investigation within 180 days) after
the filing of the complaint.
(B) Investigations.--
(i) Pattern or practice.--In the course of
investigating the complaint, the Director may
seek records of care provided to patients other
than the complainant if necessary to
demonstrate or disprove an allegation of
inequitable provision of health care or to
determine whether there is a pattern or
practice of such care.
(ii) Accounting for social determinants of
health.--In investigating the complaint and
reaching a determination on the validity of the
complaint, the Director shall account for
social determinants of health and the effect of
such social determinants on health care
outcomes.
(iii) Inability to complete
investigation.--If the Director is unable to
complete (or finds it is impracticable to
complete) the investigation within 180 days
after the filing of the complaint (or, if the
Secretary takes further action under paragraph
(6)(B) with respect to a complaint, within 180
days after the commencement of such further
action), the Director shall notify the
complainant and respondent in writing of the
reasons involved.
(iv) Report to state licensing
authorities.--On concluding each investigation
under this subparagraph, the Director shall
provide to the State licensing authorities that
were notified under subparagraph (A),
information specifying the results of the
investigation.
(C) Report.--
(i) Final report.--On completing each
investigation under this paragraph, the
Director shall prepare a final investigative
report.
(ii) Modification of report.--A final
report under this subparagraph may be modified
if additional evidence is later discovered.
(3) Conciliation.--
(A) In general.--During the period beginning on the
date on which a complaint is filed under this
subsection and ending on the date of final disposition
of such complaint (including during an investigation
under paragraph (2)(B)), the Director shall, to the
extent feasible, engage in conciliation with respect to
such complaint.
(B) Conciliation agreement.--A conciliation
agreement arising out of such conciliation shall be an
agreement between the respondent and the complainant,
and shall be subject to approval by the Director.
(C) Rights protected.--The Director shall approve a
conciliation agreement only if the agreement protects
the rights of the complainant and other persons
similarly situated.
(D) Publicly available agreement.--
(i) In general.--Subject to clause (ii),
the Secretary shall make available to the
public a copy of a conciliation agreement
entered into pursuant to this subsection unless
the complainant and respondent otherwise agree,
and the Secretary determines, that disclosure
is not required to further the purposes of this
subsection.
(ii) Limitation.--A conciliation agreement
that is made available to the public pursuant
to clause (i) may not disclose individually
identifiable health information.
(4) Failure to comply with conciliation agreement.--
Whenever the Director has reasonable cause to believe that a
respondent has breached a conciliation agreement, the Director
shall refer the matter to the Attorney General to consider
filing a civil action to enforce such agreement.
(5) Written consent for disclosure of information.--Nothing
said or done in the course of conciliation under this
subsection may be made public, or used as evidence in a
subsequent proceeding under this subsection, without the
written consent of the parties to the conciliation.
(6) Prompt judicial action.--
(A) In general.--If the Director determines at any
time following the filing of a complaint under this
subsection that prompt judicial action is necessary to
carry out the purposes of this subsection, the Director
may recommend that the Attorney General promptly
commence a civil action under subsection (d).
(B) Immediate suit.--If the Director determines at
any time following the filing of a complaint under this
subsection that the public interest would be served by
allowing the complainant to bring a civil action under
subsection (c) in a State or Federal court immediately,
the Director shall certify that the administrative
process has concluded and that the complainant may file
such a suit immediately.
(7) Annual report.--Not later than 1 year after the date of
enactment of this Act, and annually thereafter, the Director
shall make publicly available a report detailing the activities
of the Office for Civil Rights and Health Equity under this
subsection, including--
(A) the number of complaints filed and the basis on
which the complaints were filed;
(B) the number of investigations undertaken as a
result of such complaints; and
(C) the disposition of all such investigations.
(c) Enforcement by Private Persons.--
(1) In general.--
(A) Civil action.--
(i) In suit.--A complainant under
subsection (b) may commence a civil action to
obtain appropriate relief with respect to an
alleged violation of subsection (a), or for
breach of a conciliation agreement under
subsection (b), in an appropriate district
court of the United States or State court--
(I) not sooner than the earliest
of--
(aa) the date a
conciliation agreement is
reached under subsection (b);
(bb) the date of a final
disposition of a complaint
under subsection (b); or
(cc) 180 days after the
first day of the alleged
violation; and
(II) not later than 2 years after
the final day of the alleged violation.
(ii) Statute of limitations.--The
computation of such 2-year period shall not
include any time during which an administrative
proceeding (including investigation or
conciliation) under subsection (b) was pending
with respect to a complaint under such
subsection.
(B) Barring suit.--If the Director has obtained a
conciliation agreement under subsection (b) regarding
an alleged violation of subsection (a), no action may
be filed under this paragraph by the complainant
involved with respect to the alleged violation except
for the purpose of enforcing the terms of such an
agreement.
(2) Relief which may be granted.--
(A) In general.--In a civil action under paragraph
(1), if the court finds that a violation of subsection
(a) or breach of a conciliation agreement has occurred,
the court may award to the plaintiff actual and
punitive damages, and may grant as relief, as the court
determines to be appropriate, any permanent or
temporary injunction, temporary restraining order, or
other order (including an order enjoining the defendant
from engaging in a practice violating subsection (a) or
ordering such affirmative action as may be
appropriate).
(B) Fees and costs.--In a civil action under
paragraph (1), the court, in its discretion, may allow
the prevailing party, other than the United States, a
reasonable attorney's fee and costs. The United States
shall be liable for such fees and costs to the same
extent as a private person.
(3) Intervention by attorney general.--Upon timely
application, the Attorney General may intervene in a civil
action under paragraph (1), if the Attorney General certifies
that the case is of general public importance.
(d) Enforcement by the Attorney General.--
(1) Commencement of actions.--
(A) Pattern or practice cases.--The Attorney
General may commence a civil action in any appropriate
district court of the United States if the Attorney
General has reasonable cause to believe that any health
care provider covered by subsection (a)--
(i) is engaged in a pattern or practice
that violates such subsection; or
(ii) is engaged in a violation of such
subsection that raises an issue of significant
public importance.
(B) Cases by referral.--The Director may determine,
based on a pattern of complaints, a pattern of
violations, a review of data reported by a health care
provider covered by subsection (a), or any other means,
that there is reasonable cause to believe a health care
provider is engaged in a pattern or practice that
violates subsection (a). If the Director makes such a
determination, the Director shall refer the related
findings to the Attorney General. If the Attorney
General finds that such reasonable cause exists, the
Attorney General may commence a civil action in any
appropriate district court of the United States.
(2) Enforcement of subpoenas.--The Attorney General, on
behalf of the Director, or another party at whose request a
subpoena is issued under this subsection, may enforce such
subpoena in appropriate proceedings in the district court of
the United States for the district in which the person to whom
the subpoena was addressed resides, was served, or transacts
business.
(3) Relief which may be granted in civil actions.--
(A) In general.--In a civil action under paragraph
(1), the court--
(i) may award such preventive relief,
including a permanent or temporary injunction,
temporary restraining order, or other order
against the person responsible for a violation
of subsection (a) as is necessary to assure the
full enjoyment of the rights granted by this
subsection;
(ii) may award such other relief as the
court determines to be appropriate, including
monetary damages, to aggrieved persons; and
(iii) may, to vindicate the public
interest, assess punitive damages against the
respondent--
(I) in an amount not exceeding
$500,000, for a first violation; and
(II) in an amount not exceeding
$1,000,000, for any subsequent
violation.
(B) Fees and costs.--In a civil action under this
subsection, the court, in its discretion, may allow the
prevailing party, other than the United States, a
reasonable attorney's fee and costs. The United States
shall be liable for such fees and costs to the extent
provided by section 2412 of title 28, United States
Code.
(4) Intervention in civil actions.--Upon timely
application, any person may intervene in a civil action
commenced by the Attorney General under paragraphs (1) and (2)
if the action involves an alleged violation of subsection (a)
with respect to which such person is an aggrieved person
(including a person who is a complainant under subsection (b))
or a conciliation agreement to which such person is a party.
(e) Definitions.--In this section:
(1) Aggrieved person.--The term ``aggrieved person''
means--
(A) a person who believes that the person was or
will be injured in violation of subsection (a); or
(B) the personal representative or estate of a
deceased person who was injured in violation of
subsection (a).
(2) Director.--The term ``Director'' refers to the Director
for Civil Rights and Health Equity of the Department of Health
and Human Services.
(3) Disability.--The term ``disability'' has the meaning
given such term in section 3 of the Americans with Disabilities
Act of 1990 (42 U.S.C. 12102).
(4) Conciliation.--The term ``conciliation'' means the
attempted resolution of issues raised by a complaint, or by the
investigation of such complaint, through informal negotiations
involving the complainant, the respondent, and the Secretary.
(5) Conciliation agreement.--The term ``conciliation
agreement'' means a written agreement setting forth the
resolution of the issues in conciliation.
(6) Individually identifiable health information.--The term
``individually identifiable health information'' means any
information, including demographic information collected from
an individual--
(A) that is created or received by a health care
provider covered by subsection (a), health plan,
employer, or health care clearinghouse;
(B) that relates to the past, present, or future
physical or mental health or condition of, the
provision of health care to, or the past, present, or
future payment for the provision of health care to, the
individual; and
(C)(i) that identifies the individual; or
(ii) with respect to which there is a reasonable
basis to believe that the information can be used to
identify the individual.
(7) Provision of inequitable health care.--The term
provision of inequitable health care means the provision of any
health care service, by a health care provider in a manner
that--
(A) fails to meet a high-quality care standard,
meaning the health care provider fails to--
(i) avoid harm to patients as a result of
the health services that are intended to help
the patient;
(ii) provide health services based on
scientific knowledge to all and to all patients
who benefit;
(iii) refrain from providing services to
patients not likely to benefit;
(iv) provide care that is responsive to
patient preferences, needs, and values; and
(v) avoids waits or delays in care; and
(B) is discriminatory in intent or effect based at
least in part on a basis specified in subsection (a).
(8) Respondent.--The term ``respondent'' means the person
or other entity accused in a complaint of a violation of
subsection (a).
(9) Secretary.--The term ``Secretary'' means the Secretary
of Health and Human Services.
(10) Social determinants of health.--The term ``social
determinants of health'' means conditions in the environments
in which individuals live, work, attend school, and worship,
that affect a wide range of health, functioning, and quality-
of-life outcomes and risks.
(f) Rule of Construction.--Nothing in this section shall be
construed as repealing or limiting the effect of title VI of the Civil
Rights Act of 1964 (42 U.S.C. 2000b et seq.), section 1557 of the
Patient Protection and Affordable Care Act (42 U.S.C. 18116), section
504 of the Rehabilitation Act of 1973 (29 U.S.C. 794), or the Age
Discrimination Act of 1975 (42 U.S.C. 6101 et seq.).
SEC. 8. FEDERAL HEALTH EQUITY COMMISSION.
(a) Establishment of Commission.--
(1) In general.--There is established the Federal Health
Equity Commission (hereinafter in this section referred to as
the ``Commission'').
(2) Membership.--
(A) In general.--The Commission shall be composed
of--
(i) 8 voting members appointed under
subparagraph (B); and
(ii) the nonvoting, ex officio members
listed in subparagraph (C).
(B) Voting members.--Not more than 4 of the members
described in subparagraph (A)(i) shall at any one time
be of the same political party. Such members shall have
recognized expertise in and personal experience with
racial and ethnic health inequities, health care needs
of vulnerable and marginalized populations, and health
equity as a vehicle for improving health status and
health outcomes. Such members shall be appointed to the
Commission as follows:
(i) Four members of the Commission shall be
appointed by the President.
(ii) Two members of the Commission shall be
appointed by the President pro tempore of the
Senate, upon the recommendations of the
majority leader and the minority leader of the
Senate. Each member appointed to the Commission
under this clause shall be appointed from a
different political party.
(iii) Two members of the Commission shall
be appointed by the Speaker of the House of
Representatives upon the recommendations of the
majority leader and the minority leader of the
House of Representatives. Each member appointed
to the Commission under this clause shall be
appointed from a different political party.
(C) Ex officio member.--The Commission shall have
the following nonvoting, ex officio members:
(i) The Director for Civil Rights and
Health Equity of the Department of Health and
Human Services.
(ii) The Deputy Assistant Secretary for
Minority Health of the Department of Health and
Human Services.
(iii) The Director of the National
Institute on Minority Health and Health
Disparities.
(iv) The Chairperson of the Advisory
Committee on Minority Health established under
section 1707(c) of the Public Health Service
Act (42 U.S.C. 300u-6(c)).
(3) Terms.--The term of office of each member appointed
under paragraph (2)(B) of the Commission shall be 6 years.
(4) Chairperson; vice chairperson.--
(A) Chairperson.--The President shall, with the
concurrence of a majority of the members of the
Commission appointed under paragraph (2)(B), designate
a Chairperson from among the members of the Commission
appointed under such paragraph.
(B) Vice chairperson.--
(i) Designation.--The Speaker of the House
of Representatives shall, in consultation with
the majority leaders and the minority leaders
of the Senate and the House of Representatives
and with the concurrence of a majority of the
members of the Commission appointed under
paragraph (2)(B), designate a Vice Chairperson
from among the members of the Commission
appointed under such paragraph. The Vice
Chairperson may not be a member of the same
political party as the Chairperson.
(ii) Duty.--The Vice Chairperson shall act
in place of the Chairperson in the absence of
the Chairperson.
(5) Removal of members.--The President may remove a member
of the Commission only for neglect of duty or malfeasance in
office.
(6) Quorum.--A majority of members of the Commission
appointed under paragraph (2)(B) shall constitute a quorum of
the Commission, but a lesser number of members may hold
hearings.
(b) Duties of the Commission.--
(1) In general.--The Commission shall--
(A) monitor and report on the implementation of
this Act; and
(B) investigate, monitor, and report on progress
towards health equity and the elimination of health
disparities.
(2) Annual report.--The Commission shall--
(A) submit to the President and Congress at least
one report annually on health equity and health
disparities; and
(B) include in such report--
(i) a description of actions taken by the
Department of Health and Human Services and any
other Federal agency related to health equity
or health disparities; and
(ii) recommendations on ensuring equitable
health care and eliminating health disparities.
(c) Powers.--
(1) Hearings.--
(A) In general.--The Commission or, at the
direction of the Commission, any subcommittee or member
of the Commission, may, for the purpose of carrying out
this section, as the Commission or the subcommittee or
member considers advisable--
(i) hold such hearings, meet and act at
such times and places, take such testimony,
receive such evidence, and administer such
oaths; and
(ii) require, by subpoena or otherwise, the
attendance and testimony of such witnesses and
the production of such books, records,
correspondence, memoranda, papers, documents,
tapes, and materials.
(B) Limitation on hearings.--The Commission may
hold a hearing under subparagraph (A)(i) only if the
hearing is approved--
(i) by a majority of the members of the
Commission appointed under subsection
(a)(2)(B); or
(ii) by a majority of such members present
at a meeting when a quorum is present.
(2) Issuance and enforcement of subpoenas.--
(A) Issuance.--A subpoena issued under paragraph
(1) shall--
(i) bear the signature of the Chairperson
of the Commission; and
(ii) be served by any person or class of
persons designated by the Chairperson for that
purpose.
(B) Enforcement.--In the case of contumacy or
failure to obey a subpoena issued under paragraph (1),
the United States district court for the district in
which the subpoenaed person resides, is served, or may
be found may issue an order requiring the person to
appear at any designated place to testify or to produce
documentary or other evidence.
(C) Noncompliance.--Any failure to obey the order
of the court may be punished by the court as a contempt
of court.
(3) Witness allowances and fees.--
(A) In general.--Section 1821 of title 28, United
States Code, shall apply to a witness requested or
subpoenaed to appear at a hearing of the Commission.
(B) Expenses.--The per diem and mileage allowances
for a witness shall be paid from funds available to pay
the expenses of the Commission.
(4) Postal services.--The Commission may use the United
States mails in the same manner and under the same conditions
as other agencies of the Federal Government.
(5) Gifts.--The Commission may accept, use, and dispose of
gifts or donations of services or property.
(d) Administrative Provisions.--
(1) Staff.--
(A) Director.--There shall be a full-time staff
director for the Commission who shall--
(i) serve as the administrative head of the
Commission; and
(ii) be appointed by the Chairperson with
the concurrence of the Vice Chairperson.
(B) Other personnel.--The Commission may--
(i) appoint such other personnel as it
considers advisable, subject to the provisions
of title 5, United States Code, governing
appointments in the competitive service, and
the provisions of chapter 51 and subchapter III
of chapter 53 of that title relating to
classification and General Schedule pay rates;
and
(ii) may procure temporary and intermittent
services under section 3109(b) of title 5,
United States Code, at rates for individuals
not in excess of the daily equivalent paid for
positions at the maximum rate for GS-15 of the
General Schedule under section 5332 of title 5,
United States Code.
(2) Compensation of members.--
(A) Non-federal employees.--Each member of the
Commission who is not an officer or employee of the
Federal Government shall be compensated at a rate equal
to the daily equivalent of the annual rate of basic pay
prescribed for level IV of the Executive Schedule under
section 5315 of title 5, United States Code, for each
day (including travel time) during which the member is
engaged in the performance of the duties of the
Commission.
(B) Federal employees.--Each member of the
Commission who is an officer or employee of the Federal
Government shall serve without compensation in addition
to the compensation received for the services of the
member as an office or employee of the Federal
Government.
(C) Travel expenses.--A member of the Commission
shall be allowed travel expenses, including per diem in
lieu of subsistence, at rates authorized for an
employee of an agency under subchapter I of chapter 57
of title 5, United States Code, while away from the
home or regular place of business of the member in the
performance of the duties of the Commission.
(3) Cooperation.--The Commission may secure directly from
any Federal department or agency such information as the
Commission considers necessary to carry out this Act. Upon
request of the Chairman of the Commission, the head of such
department or agency shall furnish such information to the
Commission.
(e) Permanent Commission.--Section 14 of the Federal Advisory
Committee Act (5 U.S.C. App.) shall not apply to the Commission.
(f) Authorization of Appropriations.--There are authorized to be
appropriated for fiscal year 2023 and each fiscal year thereafter such
sums as may be necessary to carry out the duties of the Commission.
SEC. 9. GRANTS FOR HOSPITALS TO PROMOTE EQUITABLE HEALTH CARE AND
OUTCOMES.
(a) In General.--Not later than 180 days after the date of the
enactment of this Act, the Secretary of Health and Human Services (in
this section referred to as the ``Secretary'') shall award grants to
hospitals to promote equitable health care treatment and services, and
reduce disparities in care and outcomes.
(b) Consultation.--In establishing the criteria for grants under
this section and evaluating applications for such grants, the Secretary
shall consult with the Director for Civil Rights and Health Equity of
the Department of Health and Human Services.
(c) Use of Funds.--A hospital shall use funds received from a grant
under this section to establish or expand programs to provide equitable
health care to all patients and to ensure equitable health care
outcomes. Such uses may include--
(1) providing explicit and implicit bias training to
medical providers and staff;
(2) providing translation or interpretation services for
patients;
(3) recruiting and training a diverse workforce;
(4) tracking data related to care and outcomes; and
(5) training on cultural sensitivity.
(d) Priority.--In awarding grants under this section, the Secretary
shall give priority to hospitals that have received disproportionate
share hospital payments under section 1886(r) of the Social Security
Act (42 U.S.C. 1395ww(r)) or section 1923 of such Act (42 U.S.C. 1396r-
4) with respect to fiscal year 2021.
(e) Supplement, Not Supplant.--Grants awarded under this section
shall be used to supplement, not supplant, any nongovernment efforts,
or other Federal, State, or local funds provided to a recipient.
(f) Equitable Health Care Defined.--The term ``equitable health
care'' has the meaning given such term in section
1886(b)(3)(B)(viii)(XIII)(cc) of the Social Security Act (42 U.S.C.
1395ww(b)(3)(B)(viii)(XIII)(cc)), as added by section 4(a).
(g) Authorization of Appropriations.--To carry out this section,
there are authorized to be appropriated such sums as may be necessary
for each of fiscal years 2023 through 2028.
<all>
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118HR3069 | John Lewis Equality in Medicare and Medicaid Treatment Act of 2023 | [
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... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3069 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3069
To amend title XI of the Social Security Act to improve access to care
for all Medicare and Medicaid beneficiaries through models tested under
the Center for Medicare and Medicaid Innovation, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Ms. Sewell (for herself, Ms. Strickland, Mr. Doggett, Mr. Evans, Mr.
Gomez, Mr. Carter of Louisiana, and Mrs. Cherfilus-McCormick)
introduced the following bill; which was referred to the Committee on
Energy and Commerce, and in addition to the Committee on Ways and
Means, for a period to be subsequently determined by the Speaker, in
each case for consideration of such provisions as fall within the
jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To amend title XI of the Social Security Act to improve access to care
for all Medicare and Medicaid beneficiaries through models tested under
the Center for Medicare and Medicaid Innovation, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``John Lewis Equality in Medicare and
Medicaid Treatment Act of 2023''.
SEC. 2. IMPROVING ACCESS TO CARE FOR MEDICARE AND MEDICAID
BENEFICIARIES.
Section 1115A of the Social Security Act (42 U.S.C. 1315a) is
amended--
(1) in subsection (a)--
(A) in paragraph (1), by inserting ``advance health
equity and'' before ``improve the coordination''; and
(B) in paragraph (3)--
(i) by inserting ``(including the Office of
Minority Health of the Centers for Medicare &
Medicaid Services, the Office of Rural Health
Policy of the Health Resources and Services
Administration, and the Office on Women's
Health of the Department of Health and Human
Services)'' after ``relevant Federal
agencies''; and
(ii) by striking ``experts with expertise
in medicine'' and inserting ``experts with
expertise in medicine, the causes of health
disparities and the social determinants of
health,'';
(2) in subsection (b)--
(A) in paragraph (2)--
(i) in subparagraph (A)--
(I) by inserting the following
after the first sentence: ``Prior to
selecting a model under this paragraph,
the Secretary shall consult with the
Office of Minority Health of the
Centers for Medicare & Medicaid
Services, the Office of Rural Health
Policy of the Health Resources and
Services Administration, and the Office
on Women's Health of the Department of
Health and Human Services to ensure
that models under consideration address
health disparities and social
determinants of health as appropriate
for populations to be cared for under
the model.'';
(II) by inserting ``and, for models
for which testing begins on or after
January 1, 2024, address health equity
as well as improving access to care
received by individuals receiving
benefits under such title'' after
``applicable title''; and
(III) by adding at the end the
following: ``The models selected under
this subparagraph shall include the
social determinants of health payment
model described in subsection (h), the
testing of which shall begin not later
than December 31, 2024.''; and
(ii) in subparagraph (C), by adding at the
end the following new clauses:
``(ix) Whether the model will affect access
to care from providers and suppliers caring for
high risk patients or operating in underserved
areas.
``(x) Whether the model has the potential
to reduce health disparities, including
minority and rural health disparities.'';
(B) in paragraph (3)(B)--
(i) in clause (i), by inserting ``or health
equity'' after ``quality of care'';
(ii) in clause (ii), by inserting ``or
increasing health inequities'' after ``quality
of care''; and
(iii) in clause (iii), by inserting ``or
health equity'' after ``quality of care''; and
(C) in paragraph (4)(A)--
(i) in clause (i), by striking ``; and''
and inserting a semicolon;
(ii) in clause (ii), by striking the period
and inserting ``; and''; and
(iii) by adding at the end the following
new clause:
``(iii) for models for which testing begins
on or after January 1, 2024, the extent to
which the model improves health equity.'';
(3) in subsection (c)--
(A) in paragraph (1)--
(i) in subparagraph (A), by inserting ``or,
beginning on or after January 1, 2024,
increasing health inequities'' before the
semicolon; and
(ii) in subparagraph (B), by inserting
``or, beginning on or after January 1, 2024,
health equity'' after ``patient care''; and
(B) in paragraph (3), by inserting ``or increase
health disparities experienced by beneficiaries,
including low-income, minority, or rural beneficiaries,
or that such expansion would improve health equity''
before the period;
(4) in subsection (g), by adding at the end the following:
``For reports submitted after the date of enactment of the John
Lewis Equality in Medicare and Medicaid Treatment Act of 2023,
each such report shall include information on the following:
``(1) The interventions that address social determinants of
health, health disparities, or health equity in payment models
selected by the CMI for testing under this section.
``(2) Estimated Federal savings achieved through reducing
disparities, including rural and minority health disparities,
improving health equity, or addressing social determinants of
health.
``(3) The effectiveness of interventions in mitigating
negative health outcomes and higher costs associated with
social determinants of health within models selected by the
Center for Medicare and Medicaid Innovation for testing.
``(4) Other areas determined appropriate by the
Secretary.''; and
(5) by adding at the end the following new subsection:
``(h) Social Determinants of Health Payment Model.--
``(1) In general.--The social determinants of health
payment model described in this subsection is a payment model
that tests each of the payment and service delivery innovations
described in paragraph (2) in a region determined appropriate
by the Secretary.
``(2) Payment and service delivery innovations described.--
For purposes of paragraph (1), the payment and service delivery
innovations described in this clause are the following:
``(A) Payment and service delivery innovations for
behavioral health services, focusing on gathering
actionable data to address the higher costs associated
with beneficiaries with diagnosed behavioral
conditions.
``(B) Payment and service delivery innovations
targeting conditions or comorbidities of individuals
entitled or enrolled under the Medicare program under
title XVIII and enrolled under a State plan under the
Medicaid program under title XIX to increase capacity
in underserved areas.
``(C) Payment and service delivery innovations
targeting conditions or comorbidities of applicable
individuals to increase capacity in underserved areas.
``(D) Payment and service delivery innovations
targeted on Medicaid eligible pregnant and postpartum
women, up to one year after delivery.''.
<all>
</pre></body></html>
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118HR307 | Public Housing Emergency Response Act | [
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... | <p><b>Public Housing Emergency Response Act</b></p> <p>This bill authorizes additional assistance from the Public Housing Capital Fund to public housing agencies (PHAs) based upon capital needs as determined by the PHA's most recent physical needs assessment. The physical needs assessment identifies work that a PHA would need to undertake to bring its units up to certain energy conservation standards and other standards.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 307 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 307
To authorize additional monies to the Public Housing Capital Fund of
the Department of Housing and Urban Development, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 11, 2023
Ms. Velazquez (for herself, Mr. Goldman of New York, Mr. Meeks, Mr.
Torres of New York, Ms. Meng, Ms. Ocasio-Cortez, Mr. Espaillat, Mr.
Nadler, Mr. Bowman, and Ms. Clarke of New York) introduced the
following bill; which was referred to the Committee on Financial
Services
_______________________________________________________________________
A BILL
To authorize additional monies to the Public Housing Capital Fund of
the Department of Housing and Urban Development, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Public Housing Emergency Response
Act''.
SEC. 2. FINDINGS.
The Congress finds the following:
(1) Housing is a foundational determinant of health and has
been recognized as such since the early days of public health.
(2) Poor housing conditions contribute to a broad range of
infectious diseases, chronic diseases, injuries, childhood
development complications, nutrition issues, and mental health
challenges.
(3) The United States Housing Act of 1937 (Public Law 75-
412) charges the Department of Housing and Urban Development
(HUD) with providing residents with a decent, safe, and
affordable place to live, including those that live in public
housing.
(4) While public housing is a federally created program
overseen by HUD, the properties are owned and managed at the
local level by quasi-governmental public housing authorities
under contract with the Federal Government.
(5) Thus, the public housing program is governed in part by
Federal rules and regulations and in part by policies enacted
at the local level.
(6) Passage of the United States Housing Act of 1937 sought
to address the needs of low-income people through public
housing. At the time of passage of such Act, the Nation's
housing stock was of very poor quality. Public housing was a
significant improvement for those who had access to it.
(7) However, over the years the living conditions in public
housing began to deteriorate as the operational needs of the
units and costs necessary to remedy major capital deficiencies
began to outpace the level of funding provided by the Federal
Government and the residents' rent contributions.
(8) By 1990, no significant investment in housing
affordable to the lowest-income individuals had been made by
the Federal Government in more than 30 years.
(9) In 1998, the enactment of the Quality Housing and Work
Responsibility Act of 1998 (title V of Public Law 105-276)
prohibited public housing authorities from using any Federal
capital funding or operating funding to develop net new
housing.
(10) More than a decade after the enactment of the Quality
Housing and Work Responsibility Act of 1998, the number of
public housing units nationally began to steadily decline, as
more units were torn down than rebuilt.
(11) With the exception of an infusion of funding from the
economic stimulus legislation in 2009--the American Recovery
and Reinvestment Act (Public Law 111-5)--Federal capital
funding has remained relatively level for more than a decade,
despite an increasing backlog in unmet capital needs.
(12) Today, there are approximately 1.2 million units of
public housing across the country receiving Federal funding.
The Nation's largest public housing authority, the New York
City Public Housing Authority, houses approximately 362,000
residents in 302 developments across New York City.
(13) The Public Housing Capital Fund of the Department of
Housing and Urban Development remains the primary source of
funding public housing authorities rely on to address necessary
infrastructure upgrades and repairs.
(14) As of October 2019, the national public housing
capital repairs backlog was estimated to stand at more than $70
billion.
(15) Federal disinvestment in public housing has forced
many residents to live in accelerating substandard living. For
example, the New York City Housing Authority has a capital
repair backlog currently estimated at more than $40 billion.
New York City Housing Authority residents suffer from a
consistent lack of hot water, insufficient heat during the
winter months, rodent and insect infestations, broken
elevators, and widespread and recurring lead and mold problems.
(16) Substandard housing conditions, such as poor
ventilation, pest infestations, and water leaks, are directly
associated with the development and exacerbation of respiratory
diseases like asthma.
(17) The Centers for Disease Control and Prevention has
made clear that no level of lead poisoning is safe. Lead
poisoning can result in irreversible brain damage and affects
every major bodily system. At high levels, lead poisoning can
cause anemia, multi-organ damage, seizures, coma, and death in
children. Even with the lowest levels of lead exposure,
children experience physical, cognitive, and neurobehavioral
impairment as well as lower IQ levels, lower class standing in
high school, greater absenteeism, lower vocabulary and
grammatical-reasoning scores, and poorer hand-eye coordination
relative to other children.
(18) Exposure to cold indoor temperatures is associated
with increased risk of cardiovascular disease.
(19) Due to its aging infrastructure, the living conditions
in public housing are causing severe health consequences for
public housing residents throughout the Nation, including
asthma, respiratory illness, and elevated blood lead levels.
(20) For example, one leading study found that children
living in public housing have higher odds of asthma than
children living in all types of private housing, even after
adjusting for individual risk factors such as minority
ethnicity and race, living in a low-income household, and
living in a low-income community.
(21) The rise of the COVID-19 pandemic has introduced a new
level of risk into our society.
(22) Poor housing conditions have been linked with worse
health outcomes and infectious disease spread. One leading
study found that counties with a higher percentage of
households with poor housing had a higher incidence of, and
mortality associated with, COVID-19 and recommended targeted
health policies to support individuals living in poor housing
conditions in order to mitigate adverse outcomes associated
with COVID-19.
(23) This is a fixable public health crisis. Federal
disinvestment in public housing has consequences and aging
infrastructure is, in many cases, the root cause of many of
these health issues for residents.
(24) Therefore, it is necessary to reinvest in public
housing, provide the money needed to fulfill outstanding
capital needs, and to again ensure that all Americans have a
decent home and suitable living environment, as is HUD's
charge.
SEC. 3. AUTHORIZATION OF APPROPRIATIONS.
There is authorized to be appropriated for assistance from the
Public Housing Capital Fund under section 9(d) of the United States
Housing Act of 1937 (42 U.S.C. 1437g(d)) $70,000,000,000, which amount
shall remain available until expended and, notwithstanding subsections
(c)(1) and (d)(2) of such section 9, shall be allocated to public
housing agencies based upon the extent of such agencies' capital need,
as determined according to the agencies' most recent Physical Needs
Assessment.
<all>
</pre></body></html>
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118HR3070 | No Sanctions Relief for Terrorists Act | [
[
"S001213",
"Rep. Steil, Bryan [R-WI-1]",
"sponsor"
],
[
"H001082",
"Rep. Hern, Kevin [R-OK-1]",
"cosponsor"
],
[
"A000377",
"Rep. Armstrong, Kelly [R-ND-At Large]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3070 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3070
To prohibit the issuance of licenses or other waivers from sanctions
imposed pursuant to certain authorities relating to the conduct of
Iran, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Mr. Steil (for himself, Mr. Hern, and Mr. Armstrong) introduced the
following bill; which was referred to the Committee on Foreign Affairs
_______________________________________________________________________
A BILL
To prohibit the issuance of licenses or other waivers from sanctions
imposed pursuant to certain authorities relating to the conduct of
Iran, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``No Sanctions Relief for Terrorists
Act''.
SEC. 2. PROHIBITION ON LICENSES AND WAIVERS.
(a) In General.--No license or waiver may be granted with respect
to any transaction with any foreign person described in subsection (b)
unless the President certifies to the following committees that the
foreign persons have ceased their involvement in terrorism:
(1) The Committee on Foreign Affairs and the Committee on
Financial Services of the House of Representatives.
(2) The Committee on Foreign Relations and the Committee on
Banking, Housing, and Urban Affairs of the Senate.
(b) Sanctioned Persons.--The foreign persons described in this
subsection are all Iranian individuals and entities included, as of
January 20, 2021, on the list of specially designated nationals and
blocked persons maintained by the Office of Foreign Assets Control of
the Department of the Treasury pursuant to Executive Order 13224 (66
Fed. Reg. 49079; relating to blocking property and prohibiting
transactions with persons who commit, threaten to commit, or support
terrorism).
(c) Rule of Construction.--The prohibition under subsection (a) may
not be construed to restrict or modify any general license issued by
the Office of Foreign Asset Control relating to transactions with
persons described in subsection (b), as in effect on January 20, 2021.
<all>
</pre></body></html>
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118HR3071 | Small Business Credit Protection Act of 2023 | [
[
"S001214",
"Rep. Steube, W. Gregory [R-FL-17]",
"sponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3071 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3071
To amend the Small Business Act to require that credit reporting
companies provide certain protections to small businesses, and for
other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Mr. Steube introduced the following bill; which was referred to the
Committee on Small Business
_______________________________________________________________________
A BILL
To amend the Small Business Act to require that credit reporting
companies provide certain protections to small businesses, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Small Business Credit Protection Act
of 2023''.
SEC. 2. DATA BREACHES.
(a) In General.--The Small Business Act (15 U.S.C. 631 et seq.) is
amended--
(1) by redesignating section 49 (15 U.S.C. 631 note) as
section 50; and
(2) by inserting after section 48 (15 U.S.C. 657u) the
following new section:
``SEC. 49. DATA BREACHES.
``(a) Definition.--In this section--
``(1) the term `consumer report' has the meaning given the
term in section 603 of the Fair Credit Reporting Act (15 U.S.C.
1681a); and
``(2) the term `credit reporting company'--
``(A) has the meaning given the term `consumer
reporting agency' in section 603 of the Fair Credit
Reporting Act (15 U.S.C. 1681a); and
``(B) includes an entity that collects commercial
credit data.
``(b) Requirements for Reporting Breaches.--
``(1) Applicable state law.--
``(A) In general.--Except as provided in paragraph
(2), if nonpublic data of a small business concern that
is collected or stored by a credit reporting company
has been breached, the credit reporting company shall
report the breach promptly and not later than as
required under the law of the State in which the small
business concern is located.
``(B) Locations in multiple states.--If a small
business concern that is affected by a breach described
in subparagraph (A) has locations in more than 1 State,
for the purposes of that subparagraph, the law of the
State that imposes the shortest period for the
reporting of the breach shall apply.
``(2) Exception.--
``(A) In general.--If a small business concern that
is affected by a breach described in paragraph (1)(A)
is located in a State that does not have a law that
imposes a set period for the reporting of the breach,
the credit reporting company to which the requirement
under that paragraph applies shall report the breach in
the most expeditious manner practicable and without
unreasonable delay.
``(B) Rule of construction regarding a law
enforcement request.--For the purposes of subparagraph
(A), a delay with respect to the reporting of a breach
described in that subparagraph that is caused by a
requirement to respond to a request submitted by a law
enforcement agency shall be construed to be a
reasonable delay.
``(c) Prohibition.--During the 180-day period beginning on the date
on which a breach described in subsection (b)(1)(A) occurs, a credit
reporting company may not charge a small business concern that is
affected by that breach for providing the small business concern with
the consumer report of the small business concern.
``(d) No Preemption.--Nothing in this section shall preempt any
State law with respect to credit reporting companies.''.
(b) GAO Report.--
(1) Definitions.--In this subsection:
(A) Credit reporting company.--The term ``credit
reporting company''--
(i) has the meaning given the term
``consumer reporting agency'' in section 603 of
the Fair Credit Reporting Act (15 U.S.C.
1681a); and
(ii) includes an entity that collects
commercial credit data.
(2) Small business concern.--The term ``small business
concern'' has the meaning given such term under section 3 of
the Small Business Act (15 U.S.C. 632).
(3) Report.--Not later than 1 year after the date of
enactment of this Act, the Comptroller General of the United
States shall submit to Congress a report regarding the economic
harm incurred by small business concerns as a result of data
breaches at credit reporting companies.
<all>
</pre></body></html>
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118HR3072 | Promoting Free and Fair Elections Act | [
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... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3072 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3072
To prohibit agencies of the government from soliciting or entering into
agreements with nongovernmental organizations to conduct voter
registration or voter mobilization activities on the property or
website of the agency or from using Federal funds to carry out
activities directed under Executive Order 14019, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Ms. Tenney (for herself, Mr. Posey, Mr. Clyde, and Mr. Weber of Texas)
introduced the following bill; which was referred to the Committee on
House Administration, and in addition to the Committees on the
Judiciary, Oversight and Accountability, Science, Space, and
Technology, and Education and the Workforce, for a period to be
subsequently determined by the Speaker, in each case for consideration
of such provisions as fall within the jurisdiction of the committee
concerned
_______________________________________________________________________
A BILL
To prohibit agencies of the government from soliciting or entering into
agreements with nongovernmental organizations to conduct voter
registration or voter mobilization activities on the property or
website of the agency or from using Federal funds to carry out
activities directed under Executive Order 14019, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Promoting Free and Fair Elections
Act''.
SEC. 2. PROHIBITING PROMOTION OF VOTER REGISTRATION BY AGENCIES.
(a) Agreements With Nongovernmental Organizations.--None of the
funds made available for the salaries and expenses of an agency may be
used to solicit or enter into an agreement with a nongovernmental
organization to conduct voter registration or voter mobilization
activities, including registering voters or providing any person with
voter registration materials, absentee or vote-by-mail ballot
applications, voting instructions, or candidate-related information, on
the property or website of the agency.
(b) Activities Under Executive Order 14019.--
(1) Delay in implementation.--
(A) Delay.--Except as provided in subparagraph (B),
none of the funds made available for the salaries and
expenses of an agency may be used to implement
activities directed under Executive Order 14019 (86
Fed. Reg. 13623) until--
(i) in the case of an agency that is
required to submit a report to the appropriate
congressional committees under paragraph
(2)(A), 180 days after the agency submits the
report; or
(ii) in the case of an agency that is
required to submit a report to the appropriate
congressional committees under paragraph
(2)(B), the date on which the agency submits
the report.
(B) Exception.--Subparagraph (A) shall not apply to
any activity described in section 7(c) of the National
Voter Registration Act of 1993 (52 U.S.C. 20506(c)).
(2) Report.--Not later than 30 days after the date of
enactment of this Act, the head of each agency shall submit to
the appropriate congressional committees--
(A) a copy of the strategic plan of the agency for
promoting voter registration and voter participation
under section 3(b) of Executive Order 14019 (86 Fed.
Reg. 13623) that the agency developed or submitted to
the Assistant to the President for Domestic Policy; or
(B) if the agency did not develop or submit a plan
described in subparagraph (A) to the Assistant to the
President for Domestic Policy, a certification signed
by the head of the agency that the agency did not
develop or submit such a plan.
(c) Effective Date.--Except as provided in subsection (b)(2), this
section shall apply with respect to fiscal year 2023 and each
succeeding fiscal year.
SEC. 3. ADDITIONAL REPORT ON VOTER REGISTRATION AND MOBILIZATION.
Not later than 30 days after the date of enactment of this Act, the
head of each agency shall submit to the appropriate congressional
committees a report describing the activities carried out by the agency
pursuant to sections 3 and 4 of Executive Order 14019 (86 Fed. Reg.
13623).
SEC. 4. PROHIBITING VOTER REGISTRATION AND MOBILIZATION IN FEDERAL
WORK-STUDY PROGRAMS.
Section 443(b)(1) of the Higher Education Act of 1965 (20 U.S.C.
1087-53(b)(1)) is amended--
(1) in subparagraph (C), by striking ``and'';
(2) by redesignating subparagraph (D) as subparagraph (E);
and
(3) by inserting after subparagraph (C) the following:
``(D) does not involve registering or mobilizing
voters on or off the campus of the institution; and''.
SEC. 5. DEFINITIONS.
In this Act:
(1) Agency.--The term ``agency'' has the meaning given the
term in section 3502(1) of title 44, United States Code, except
that for purposes of section 2(b) of this Act such term does
not include an independent regulatory agency as defined in
section 3502(5) of title 44, United States Code.
(2) Appropriate congressional committees.--The term
``appropriate congressional committees'' means--
(A) the Committee on Rules and Administration of
the Senate;
(B) the Committee on the Judiciary of the Senate;
(C) the Committee on House Administration of the
House of Representatives; and
(D) the Committee on the Judiciary of the House of
Representatives.
<all>
</pre></body></html>
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118HR3073 | Community Mental Wellness and Resilience Act of 2023 | [
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"P00061... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3073 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3073
To amend the Public Health Service Act to direct the Secretary of
Health and Human Services, acting through the Director of the Centers
for Disease Control and Prevention, to promote mental wellness and
resilience and prevent and heal mental health, behavioral health, and
psychosocial conditions through developmentally and culturally
appropriate community programs, and award grants for the purpose of
establishing, operating, or expanding community-based mental wellness
and resilience programs, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Mr. Tonko (for himself, Mr. Fitzpatrick, Ms. Castor of Florida, Mr.
Bacon, and Mrs. Peltola) introduced the following bill; which was
referred to the Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To amend the Public Health Service Act to direct the Secretary of
Health and Human Services, acting through the Director of the Centers
for Disease Control and Prevention, to promote mental wellness and
resilience and prevent and heal mental health, behavioral health, and
psychosocial conditions through developmentally and culturally
appropriate community programs, and award grants for the purpose of
establishing, operating, or expanding community-based mental wellness
and resilience programs, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Community Mental Wellness and
Resilience Act of 2023''.
SEC. 2. GRANT PROGRAM FOR COMMUNITY MENTAL WELLNESS AND RESILIENCE
PROGRAMS.
Title III of the Public Health Service Act is amended by inserting
after section 317V, as added by section 2201 of the PREVENT Pandemics
Act (Public Law 117-328) the following:
``SEC. 317W. GRANT PROGRAM FOR COMMUNITY MENTAL WELLNESS AND RESILIENCE
PROGRAMS.
``(a) Grants.--
``(1) Planning grants.--
``(A) Awards.--The Secretary, acting through the
Director of the Centers for Disease Control and
Prevention (in this section referred to as the
`Secretary'), in consultation with the Assistant
Secretary for Mental Health and Substance Use and the
Administrator of the Health Resources and Services
Administration, shall award grants to eligible
organizations--
``(i) to organize a resilience coordinating
network;
``(ii) to perform assessments of need with
respect to community mental wellness and
resilience; and
``(iii) to prepare an application for a
grant under paragraph (2).
``(B) Amount.--The amount of a grant under
subparagraph (A), with respect to any eligible
organization seeking such a grant shall not exceed
$250,000.
``(C) Eligible organization defined.--In this
paragraph, the term `eligible organization' means an
organization that--
``(i) is a nonprofit or community-based
entity eligible to be a part of the resilience
coordinating network (as defined in subsection
(c)); and
``(ii) has documented support from at least
3 other such entities.
``(2) Program grants.--
``(A) Awards.--The Secretary, acting through the
Director of the Centers for Disease Control and
Prevention, in consultation with the Assistant
Secretary for Mental Health and Substance Use and the
Administrator of the Health Resources and Services
Administration, shall carry out a program of awarding
grants to resilience coordinating networks, on a
competitive basis, for the purpose of establishing,
operating, or expanding community mental wellness and
resilience programs.
``(B) Amount.--The amount of a grant under
subparagraph (A) shall not exceed $500,000 each year
over a period not to exceed four years.
``(C) Rural set aside.--
``(i) In general.--Of the funds
appropriated to carry out this section for a
fiscal year, 20 percent of such funds shall be
reserved to award grants to community mental
wellness and resilience programs in rural
areas.
``(ii) Rural area described.--For purposes
of clause (i), a rural area is a region outside
of an urban or suburban area.
``(iii) Inclusion.--For purposes of clause
(ii), a rural area may include individuals and
organizations from multiple towns in the county
or region involved.
``(b) Program Requirements.--A program carried out using funds
awarded under subsection (a)(2) shall take a public health approach to
mental health prevention and promotion, using the best available
evidence, to strengthen the entire community's psychological and
emotional wellness and resilience, including by--
``(1) collecting and analyzing information from residents
of the community as well as quantitative data to identify--
``(A) protective factors that enhance and sustain
the community's capacity for mental wellness and
resilience; and
``(B) risk factors that undermine such capacity;
``(2) strengthening such protective factors and addressing
such risk factors;
``(3) building awareness, skills, tools, and leadership in
the community to--
``(A) facilitate using a public health approach to
mental health; and
``(B) detect, prevent, and heal mental health,
behavioral health, and psychosocial conditions among
all adults and youth; and
``(4) developing, implementing, and continually evaluating
and improving a comprehensive strategic plan for carrying out
the activities described in paragraphs (1), (2) and (3) that
includes utilizing developmentally, linguistically, and
culturally appropriate evidence-based, evidence-informed,
promising-best, or indigenous practices for--
``(A) engaging residents in building social
connections, including across cultural, geographic, and
economic boundaries;
``(B) enhancing local economic, social, and
environmental conditions, including with respect to the
built environment;
``(C) becoming trauma-informed and learning simple
self-administrable mental wellness and resilience
skills;
``(D) engaging in community activities that
strengthen mental wellness and resilience;
``(E) partaking in nonclinical group and community-
minded prevention and recovery programs; and
``(F) other activities to promote mental wellness
and resilience and prevent or heal individual and
community traumas.
``(c) Resilience Coordinating Network.--
``(1) In general.--In this section, the term `resilience
coordinating network' means a network that is composed of 1 or
more representatives from at least 5 of the categories listed
in paragraph (2).
``(2) Categories.--The categories listed in this paragraph
are the following:
``(A) Grassroots groups, community-based
organizations, neighborhood associations, and volunteer
civic organizations.
``(B) Elementary and secondary schools, high-needs
schools, institutions of higher education, including
community colleges, job-training programs, and other
education or training agencies or organizations.
``(C) Youth serving organizations, such as youth
after-school and summer programs.
``(D) Parental, family, and early childhood
education programs.
``(E) Faith and spirituality organizations.
``(F) Senior care organizations.
``(G) Climate change mitigation and adaptation, and
environmental conservation, groups and organizations.
``(H) Social and environmental justice groups and
organizations.
``(I) Disaster preparedness and emergency response
groups and organizations.
``(J) Businesses and business associations.
``(K) Police, fire, and other agencies and
organizations involved with community safety, security,
and the justice system.
``(L) Social work, mental health, behavioral
health, substance use, physical health, public health,
and other professionals, groups, organizations,
agencies, and institutions in the human health and
social services fields.
``(M) The general public, including individuals who
have experienced adverse mental health or behavioral
health conditions who can represent and engage with
populations relevant to the community.
``(d) Technical Assistance.--The Secretary shall provide, directly
or through grants to, or contracts with public or private entities, to
eligible organizations and resilience coordinating networks technical
assistance--
``(1) in developing applications for grants under paragraph
(1) or (2) of subsection (a); and
``(2) by sharing best practices learned from resilience
coordinating networks.
``(e) Report.--
``(1) Submission.--Not later than December 31, 2028, the
Secretary shall submit a report to the Congress on the results
of the grants under subsection (a)(1).
``(2) Contents.--Such report shall include a summary of the
best practices used by grantees in establishing, operating, or
expanding community mental wellness and resilience programs,
and the outputs and outcomes achieved.
``(f) Definitions.--In this section:
``(1) The term `public health approach to mental health'
refers to methods that--
``(A) take a population-level approach to promote
mental wellness and resilience to prevent problems
before they emerge, intervene before they become more
severe, and heal them when they do appear, not merely
treating individuals one at a time after symptoms of
pathology appear; and
``(B) address mental health and psychosocial
problems by--
``(i) identifying and strengthening
existing protective factors, and forming new
ones, that buffer people from and enhance their
capacity for psychological, emotional, and
behavioral wellness and resilience for
adversities;
``(ii) taking a holistic systems
perspective that recognizes that most mental
health, behavioral health, and psychosocial
conditions result from numerous interrelated
personal, family, social, economic, and
environmental factors that require multipronged
community-based interventions; and
``(iii) using the best available evidence
to take action and implement strategies that
support mental health prevention and recovery
efforts.
``(2) The term `community' means people, groups, and
organizations that reside in or work within a specific
geographic area, such as a city, neighborhood, subdivision, or
urban, suburban, or rural locale.
``(3) The term `community trauma' means a traumatic event
or events that are shared by a community and that have lasting
adverse effects on the health and well-being of the community.
``(4) The term `protective factors' means strengths,
skills, resources, and characteristics that--
``(A) are associated with a lower likelihood of
negative outcomes of adversities; or
``(B) reduce the impact on people of toxic stresses
or a traumatic experience.
``(5) The term `mental wellness' means a state of well-
being in which an individual experiences positive emotional
functioning, pursues self-defined goals, establishes and
maintains meaningful relationships, and feels a sense of
meaning and purpose. At the individual level, well-being is
based on fundamental social, cognitive, and emotional skills
that help individuals react, cope, and adapt in healthy ways to
stress, uncertainty, adversity, trauma, and change. At the
community level, well-being is influenced by the social,
economic, educational, and environmental factors and conditions
that either enhance or diminish well-being within the
community.
``(6) The term `psychosocial problem' refers to social and
environmental structures and processes that adversely effect
and influence an individual's mental state.
``(7) The term `resilience' means that people develop
cognitive, psychological, emotional capabilities and social
connections that enable them to calm their body, mind,
emotions, and behaviors during toxic stresses or traumatic
experiences in ways that enable them to--
``(A) respond without negative consequences for
themselves or others; and
``(B) use the experiences as catalysts to develop a
constructive new sense of meaning, purpose, and hope.
``(8) The term `toxic stress' means exposure to prolonged,
severe, and stressful situations with no period of recovery or
support.
``(g) Authorization of Appropriations.--
``(1) In general.--To carry out this section, there is
authorized to be appropriated $36,000,000 for the period of
fiscal years 2024 through 2028.
``(2) Limitation.--Of the amount made available to carry
out this section for a fiscal year, not more than 5 percent of
such funds may be used to carry out subsection (d).''.
<all>
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118HR3074 | Due Process Continuity of Care Act | [
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... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3074 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3074
To amend title XIX of the Social Security Act to remove the Medicaid
coverage exclusion for inmates in custody pending disposition of
charges, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Mr. Trone (for himself, Mr. Turner, Mr. Rutherford, Mr. Tonko, Mr.
Meuser, Mrs. Bice, Mr. Bacon, Mr. Joyce of Ohio, Mr. Moulton, Mr.
Phillips, Ms. Blunt Rochester, Ms. McCollum, Mr. Cardenas, Ms. Kuster,
Ms. Norton, Mr. Lieu, and Mr. Harder of California) introduced the
following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To amend title XIX of the Social Security Act to remove the Medicaid
coverage exclusion for inmates in custody pending disposition of
charges, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Due Process Continuity of Care
Act''.
SEC. 2. REMOVAL OF INMATE LIMITATION ON BENEFITS UNDER MEDICAID.
(a) In General.--The subdivision (A) of section 1905(a) of the
Social Security Act (42 U.S.C. 1396d(a)) following the last numbered
paragraph of such section is amended by inserting ``, or, at the option
of the State, while in custody pending disposition of charges'' after
``patient in a medical institution''.
(b) Conforming Amendments.--Section 5122 of division FF of the
Consolidated Appropriations Act, 2023 (Public Law 117-328) is amended--
(1) in subsection (a), by striking ``Medicaid'' and all
that follows through ``Section 1902(a)(84)(A)'' and inserting
``Medicaid.--Section 1902(a)(84)(A)''; and
(2) in subsection (c), by inserting ``, except that if such
date is later than the effective date described in section 2(c)
of the Due Process Continuity of Care Act then the amendment
made by subsection (a) shall take effect and apply to items and
services furnished for periods beginning on or after the
effective date described in such section'' before the period.
(c) Effective Date.--The amendments made by subsections (a) and (b)
shall take effect on the 1st day of the 1st calendar quarter that
begins on or after the date that is 60 days after the date of the
enactment of this Act and shall apply to items and services furnished
for periods beginning on or after such date.
SEC. 3. PLANNING GRANTS.
(a) In General.--The Secretary shall award planning grants to
States to support providing medical assistance under the State Medicaid
program to individuals who are eligible for such assistance as a result
of the amendment made by section 2(a). The grants shall be used to
prepare an application that meets the requirements of subsection (b).
(b) Application Requirements.--In order to be awarded a planning
grant under this section, a State shall submit an application to the
Secretary at such time and in such form and manner as the Secretary
shall require, that includes the following information along with such
additional information, provisions, and assurances, as the Secretary
may require:
(1) A proposed process for carrying out each of the
activities described in subsection (c) in the State.
(2) A review of State policies regarding the population of
individuals who are eligible for medical assistance under the
State Medicaid program as a result of the amendment made by
section 2(a) with respect to whether such policies may create
barriers to increasing the number of health care providers who
can provide items and services for that population.
(3) The development of a plan, taking into account
activities described in subsection (c)(2), that will ensure a
sustainable number of Medicaid-enrolled providers under the
State Medicaid program that can offer a full array of treatment
and services to the patient population described in paragraph
(2) as needed. Such plan shall include the following:
(A) Specific activities to increase the number of
providers that will offer physical health treatment, as
well as services related to behavioral health
treatment, including substance use disorder treatment,
recovery, or support services (including short-term
detoxification services, outpatient substance use
disorder services, and evidence-based peer recovery
services).
(B) Milestones and timeliness for implementing
activities set forth in the plan.
(C) Specific measurable targets for increasing the
number of providers under the State Medicaid program
who will treat the patient population described in
paragraph (2).
(4) An assurance that the State consulted with relevant
stakeholders, including the State agency responsible for
administering the State Medicaid program, Medicaid managed care
plans, health care providers, law enforcement personnel,
officials from jails, and Medicaid beneficiary advocates, with
respect to the preparation and completion of the application
and a description of such consultation.
(c) Activities Described.--For purposes of subsection (b)(1), the
activities described in this subsection are the following:
(1) Activities that support the development of an initial
assessment of the health treatment needs of patients who are in
custody pending disposition of charges to determine the extent
to which providers are needed (including the types of such
providers and geographic area of need) to improve the number of
providers that will treat patients in custody pending
disposition of charges under the State Medicaid program,
including the following:
(A) An estimate of the number of individuals
enrolled under the State Medicaid program who are in
custody pending disposition of charges.
(B) Information on the capacity of providers to
provide treatment or services to such individuals
enrolled under the State Medicaid program, including
information on providers who provide such services and
their participation under the State Medicaid program.
(C) Information on the health care services
provided under programs other than the State Medicaid
program in jails to individuals who are in custody
pending disposition of charges.
(2) Activities that, taking into account the results of the
assessment described in paragraph (1) with respect to the
provision of treatment or services under the State Medicaid
program, support the development of State infrastructure to
recruit or contract with prospective health care providers,
provide training and technical assistance to such providers,
and secure a process for an electronic health record system for
billing to reimburse for services provided by the correctional
facility, outpatient providers, medical vendors, and contracted
telehealth service providers to patients who are in custody
pending disposition of charges that are compliant with
applicable requirements and regulations for State Medicaid
programs.
(3) Activities that ensure the quality of care for patients
who are in custody pending disposition of charges, including
formal reporting mechanisms for patient outcomes, and
activities that promote participation in learning
collaboratives among providers treating this population.
(d) Geographic Diversity.--The Secretary shall select States for
planning grants under this section in a manner that ensures geographic
diversity.
(e) Funding.--There are authorized to be appropriated $50,000,000
to carry out this section.
(f) Definitions.--In this section:
(1) Medicaid program.--The term ``Medicaid program'' means,
with respect to a State, the State program under title XIX of
the Social Security Act (42 U.S.C. 1396 et seq.) including any
waiver or demonstration under such title or under section 1115
of such Act (42 U.S.C. 1315) relating to such title.
(2) Secretary.--The term ``Secretary'' means the Secretary
of Health and Human Services.
(3) State.--The term ``State'' has the meaning given that
term for purposes of title XIX of the Social Security Act (42
U.S.C. 1396 et seq.) in section 1101(a)(1) of such Act (42
U.S.C. 1301(a)(1)).
<all>
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118HR3075 | Veterans’ Telecommunication Protection Act | [
[
"V000133",
"Rep. Van Drew, Jefferson [R-NJ-2]",
"sponsor"
]
] | <p><b>Veterans' Telecommunication Protection Act</b></p> <p>This bill requires a cable or voice service provider to charge a veterans' organization at an individual or household service rate unless that rate is greater than the amount the provider would otherwise charge the organization.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3075 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3075
To amend the Communications Act of 1934 to require providers of cable
service and telephone service to charge veterans' organizations
residential rates for such services, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Mr. Van Drew introduced the following bill; which was referred to the
Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To amend the Communications Act of 1934 to require providers of cable
service and telephone service to charge veterans' organizations
residential rates for such services, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Veterans' Telecommunication
Protection Act''.
SEC. 2. RESIDENTIAL RATES FOR VETERANS' ORGANIZATIONS.
(a) In General.--Title VII of the Communications Act of 1934 (47
U.S.C. 601 et seq.) is amended by adding at the end the following:
``SEC. 723. RESIDENTIAL RATES FOR VETERANS' ORGANIZATIONS.
``(a) In General.--A provider of a covered service shall charge a
veterans' organization for a covered service delivered to the property
at which the organization primarily operates the rate that the provider
would charge for the service if the organization were an individual or
household residing at the property, if the rate is less than the rate
that the provider would charge the organization for the service without
regard to this section.
``(b) Definitions.--In this section:
``(1) Covered service.--The term `covered service' means--
``(A) a cable service (as defined in section 602);
and
``(B) a voice service (as defined in section
227(e)(8)), except for a commercial mobile service (as
defined in section 332(d)).
``(2) Veterans' organization.--The term `veterans'
organization' means any organization recognized by the
Secretary of Veterans Affairs pursuant to section 5902 of title
38, United States Code.''.
(b) Effective Date.--Section 723 of the Communications Act of 1934,
as added by subsection (a), applies with respect to covered services
(as such term is defined in such section) provided on or after the date
of the enactment of this Act.
<all>
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118HR3076 | Andrew Thomas McCaffrey Green Star Veterans Service Act | [
[
"V000133",
"Rep. Van Drew, Jefferson [R-NJ-2]",
"sponsor"
]
] | <p><b>Andrew Thomas McCaffrey Green Star Veterans Service Act</b></p> <p>This bill requires the Department of Veterans Affairs to design and designate the Green Star Service Flag to identify next of kin of veterans who died of suicide on or after September 11, 2001. An individual who is next of kin of such a veteran may display the flag.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3076 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3076
To amend title 36, United States Code, to direct the Secretary of
Veterans Affairs to establish a flag for next of kin of veterans who
die by suicide.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Mr. Van Drew introduced the following bill; which was referred to the
Committee on the Judiciary
_______________________________________________________________________
A BILL
To amend title 36, United States Code, to direct the Secretary of
Veterans Affairs to establish a flag for next of kin of veterans who
die by suicide.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Andrew Thomas McCaffrey Green Star
Veterans Service Act''.
SEC. 2. GREEN STAR SERVICE FLAG FOR NEXT OF KIN OF VETERANS DECEASED AS
RESULT OF SUICIDE.
(a) Green Star Service Flag.--Chapter 9 of title 36, United States
Code, is amended by adding at the end the following new section:
``Sec. 904. Green Star Service Flag
``(a) Designation.--The Secretary of Veterans Affairs shall design
and designate a flag as the Green Star Service Flag to identify next of
kin of covered veterans.
``(b) Individuals Entitled To Display Green Star Service Flag.--An
individual who is next of kin of a covered veteran may display the
Green Star Service Flag.
``(c) License To Manufacture and Sell.--Any person may apply to the
Secretary for a license to manufacture and sell the designated Green
Star Service Flag. A person that manufactures a Green Star Service Flag
without having first obtained a license or otherwise violates this
section is liable to the United States for a civil penalty of not more
than $1,000.
``(d) Definitions.--In this section:
``(1) The term `covered veteran' means a veteran who died--
``(A) on or after September 11, 2001; and
``(B) as the result of suicide.
``(2) The term `next of kin' includes--
``(A) a family member, as that term is defined in
section 1720K of title 38; and
``(B) any individual specified by the Secretary in
regulations prescribed pursuant to this section.''.
(b) Clerical Amendment.--The table of sections at the beginning of
such chapter is amended by adding at the end the following new item:
``904. Green Star Service Flag.''.
<all>
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118HR3077 | To amend title 38, United States Code, to establish a counseling program for certain survivor of veterans deceased as the result of suicide. | [
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118HR3078 | Sunlight in Workplace Harassment Act | [
[
"W000788",
"Rep. Williams, Nikema [D-GA-5]",
"sponsor"
],
[
"N000147",
"Del. Norton, Eleanor Holmes [D-DC-At Large]",
"cosponsor"
],
[
"J000298",
"Rep. Jayapal, Pramila [D-WA-7]",
"cosponsor"
],
[
"T000481",
"Rep. Tlaib, Rashida [D-MI-12]",
"cosponsor"
... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3078 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3078
To amend the Securities Exchange Act of 1934 to require disclosure of
payments for settlements of disputes regarding sexual abuse and certain
types of harassment and discrimination, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 2, 2023
Ms. Williams of Georgia (for herself, Ms. Norton, Ms. Jayapal, Ms.
Tlaib, Mrs. Watson Coleman, Ms. Clarke of New York, Ms. Barragan, Ms.
Kamlager-Dove, and Ms. Sewell) introduced the following bill; which was
referred to the Committee on Financial Services
_______________________________________________________________________
A BILL
To amend the Securities Exchange Act of 1934 to require disclosure of
payments for settlements of disputes regarding sexual abuse and certain
types of harassment and discrimination, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Sunlight in Workplace Harassment
Act''.
SEC. 2. DISCLOSURE OF PAYMENTS FOR SETTLEMENTS OF DISPUTES REGARDING
SEXUAL ABUSE AND CERTAIN TYPES OF HARASSMENT AND
DISCRIMINATION.
Section 13 of the Securities Exchange Act of 1934 (15 U.S.C. 78m)
is amended by adding at the end the following:
``(t) Disclosure of Certain Activities Regarding Settlements of
Disputes Relating to Sexual Abuse and Certain Types of Harassment or
Discrimination.--
``(1) Definitions.--In this subsection--
``(A) the term `covered discrimination' means--
``(i) discrimination described in any of
clauses (i) through (vi) of subparagraph (B);
or
``(ii)(I) a violation of section 704(a) of
the Civil Rights Act of 1964 (42 U.S.C. 2000e-
3(a)) that is related to discrimination
described in subparagraph (B)(i) or (B)(vi)(I);
``(II) a violation of section 4(d) of the
Age Discrimination in Employment Act of 1967
(29 U.S.C. 623(d)) that is related to
discrimination described in subparagraph
(B)(ii);
``(III) a violation of subsection (a) or
(b) of section 503 of the Americans with
Disabilities Act of 1990 (42 U.S.C. 12203) that
is related to discrimination described in
subparagraph (B)(iii);
``(IV) a violation of section 207(f) of the
Genetic Information Nondiscrimination Act of
2008 (42 U.S.C. 2000ff-6(f)) that is related to
discrimination described in subparagraph
(B)(iv);
``(V) a violation of section 4311(b) of
title 38, United States Code, that is related
to discrimination described in subparagraph
(B)(v); and
``(VI) a violation of section
40002(b)(13)(A) of the Violence Against Women
Act of 1994 (34 U.S.C. 12291(b)(13)(A)) that--
``(aa) may cover retaliation
described in a provision specified in
any of subclauses (I) through (V); and
``(bb) is related to discrimination
described in subparagraph (B)(vi)(II);
``(B) the term `covered harassment' means
harassment that is--
``(i) discrimination because of a
characteristic consisting of race, color,
religion, sex, sexual orientation, gender
identity, or national origin, whether the
characteristic is actual or perceived, under
title VII of the Civil Rights Act of 1964 (42
U.S.C. 2000e et seq.);
``(ii) discrimination because of actual or
perceived age under the Age Discrimination in
Employment Act of 1967 (29 U.S.C. 621 et seq.);
``(iii) discrimination on the basis of
actual or perceived disability under--
``(I) title I of the Americans with
Disabilities Act of 1990 (42 U.S.C.
12111 et seq.); or
``(II) section 501 of the
Rehabilitation Act of 1973 (29 U.S.C.
791);
``(iv) discrimination because of actual or
perceived genetic information under title II of
the Genetic Information Nondiscrimination Act
of 2008 (42 U.S.C. 2000ff et seq.);
``(v) discrimination on the basis of actual
or perceived status concerning service in a
uniformed service under section 4311(a) of
title 38, United States Code; or
``(vi) discrimination because of a
characteristic consisting of sexual orientation
or gender identity, whether the characteristic
is actual or perceived, under section
40002(b)(13)(A) of the Violence Against Women
Act of 1994 (34 U.S.C. 12291(b)(13)(A));
``(C) the term `covered issuer' means an issuer
that is required to file Form 10-K;
``(D) the term `Form 10-K' means the form described
in section 249.310 of title 17, Code of Federal
Regulations, as in effect on the date of enactment of
this subsection;
``(E) the term `gender identity' means a
characteristic consisting of the gender-related
identity, appearance, mannerisms, or other gender-
related characteristics of an individual, whether the
characteristic is actual or perceived, regardless of
the designated sex of the individual at birth;
``(F) the term `judgment' means, with respect to an
issuer, a judgment entered against the issuer, whether
imposed by a court or through arbitration;
``(G) the term `settlement' means any commitment or
agreement--
``(i) without regard to whether the
commitment or agreement, as applicable, is in
writing; and
``(ii) under which an issuer directly or
indirectly--
``(I) provides to an individual
compensation or other consideration
because of an allegation that the
individual has been a victim of covered
harassment, covered discrimination, or
sexual abuse; or
``(II) establishes conditions that
affect the terms of the employment,
including by terminating the
employment, of the individual with the
issuer--
``(aa) because of the
experience of the individual
with, or the participation of
the individual in, an alleged
act of covered harassment,
covered discrimination, or
sexual abuse; and
``(bb) in exchange for
which the individual agrees or
commits not to--
``(AA) bring legal,
administrative, or any
other type of action
against the issuer; or
``(BB) publicly
disclose, for a period
of time of any length,
any portion of the
alleged act described
in item (aa) on which
the commitment or
agreement, as
applicable, is based;
``(H) the term `sexual abuse' means a nonconsensual
sexual act or sexual contact, as such terms are defined
in section 2246 of title 18, United States Code, or
similar applicable Tribal or State law, including such
an act or contact in a circumstance in which the victim
lacks capacity to consent; and
``(I) the term `sexual orientation' means a
characteristic consisting of homosexuality,
heterosexuality, or bisexuality, whether the
characteristic is actual or perceived.
``(2) Disclosure requirements.--
``(A) In general.--Beginning in the first fiscal
year that begins after the date of enactment of this
subsection, each covered issuer shall disclose annually
on Form 10-K, to shareholders of the covered issuer,
and to the public--
``(i) for the time periods, and in the
manner, described in subparagraph (B)--
``(I) the total number of
settlements entered into by the covered
issuer, a subsidiary, contractor, or
subcontractor of the covered issuer, or
a corporate executive of the covered
issuer that relate to any alleged act
of sexual abuse, covered harassment, or
covered discrimination that--
``(aa) occurred in the
workplace of the covered issuer
or a subsidiary, contractor, or
subcontractor of the covered
issuer; or
``(bb) involves the
behavior of an employee of the
covered issuer, or of a
subsidiary, contractor, or
subcontractor of the covered
issuer, toward another such
employee, without regard to
whether that behavior occurred
in the workplace of the covered
issuer or the subsidiary,
contractor, or subcontractor,
as applicable;
``(II) the total dollar amount paid
with respect to the settlements
described in subclause (I);
``(III) the total number of
settlements entered into by the covered
issuer, a subsidiary, contractor, or
subcontractor of the covered issuer, or
a corporate executive of the covered
issuer that relate to any alleged act
of sexual abuse, covered harassment, or
covered discrimination that--
``(aa) was committed by a
corporate executive of--
``(AA) the covered
issuer; or
``(BB) a
subsidiary, contractor,
or subcontractor of the
covered issuer; and
``(bb)(AA) occurred in the
workplace of the covered issuer
or a subsidiary, contractor, or
subcontractor of the covered
issuer, as applicable; or
``(BB) involved the
behavior of a corporate
executive described in item
(aa) toward another employee of
the covered issuer or a
subsidiary, contractor, or
subcontractor of the covered
issuer, as applicable, without
regard to whether that behavior
occurred in the workplace of
the covered issuer or a
subsidiary, contractor, or
subcontractor of the covered
issuer;
``(IV) the total dollar amount with
respect to the settlements described in
subclause (III);
``(V) the average length of time
required for the covered issuer to
resolve a complaint relating to an
alleged act of covered discrimination,
covered harassment, or sexual abuse;
``(VI) the total number of
judgments entered against the covered
issuer, a subsidiary, contractor, or
subcontractor of the covered issuer, or
a corporate executive of the covered
issuer that relate to any alleged act
of sexual abuse, covered harassment, or
covered discrimination that--
``(aa) occurred in the
workplace of the covered issuer
or a subsidiary, contractor, or
subcontractor of the covered
issuer; or
``(bb) involves the
behavior of an employee of the
covered issuer, or a
subsidiary, contractor, or
subcontractor of the covered
issuer, toward another such
employee, without regard to
whether that behavior occurred
in the workplace of the covered
issuer or the subsidiary,
contractor, or subcontractor,
as applicable;
``(VII) the total dollar amount
paid with respect to the judgments
described in subclause (VI);
``(VIII) the total number of
judgments entered against the covered
issuer, a subsidiary, contractor, or
subcontractor of the covered issuer, or
a corporate executive of the covered
issuer that relate to any alleged act
of sexual abuse, covered harassment, or
covered discrimination that--
``(aa) was committed by a
corporate executive of--
``(AA) the covered
issuer; or
``(BB) a
subsidiary, contractor,
or subcontractor of the
covered issuer; and
``(bb)(AA) occurred in the
workplace of the covered issuer
or a subsidiary, contractor, or
subcontractor of the covered
issuer, as applicable; or
``(BB) involved the
behavior of a corporate
executive described in item
(aa) toward another employee of
the covered issuer or a
subsidiary, contractor, or
subcontractor of the covered
issuer, as applicable, without
regard to whether that behavior
occurred in the workplace of
the covered issuer or a
subsidiary, contractor, or
subcontractor of the covered
issuer; and
``(IX) the total dollar amount with
respect to the judgments described in
subclause (VIII);
``(ii) as of the date on which the
disclosure is made, the total number of
complaints relating to covered discrimination,
covered harassment, and sexual abuse that the
covered issuer is working to resolve through--
``(I) processes that are internal
to the covered issuer;
``(II) arbitration; and
``(III) litigation; and
``(iii) with respect to each alleged act of
covered discrimination, covered harassment, or
sexual abuse that is the subject of a complaint
or settlement described in clauses (i) and
(ii), the date on which that alleged act
occurred, with as much specificity as is
practicable under the circumstances.
``(B) Categories.--
``(i) In general.--Subject to subparagraph
(C), in each disclosure required under
subparagraph (A), a covered issuer shall report
the following:
``(I) For the fiscal year that is
the subject of that disclosure, the
following:
``(aa) The total number of
settlements in subclauses (I)
and (III) of subparagraph
(A)(i), in the aggregate.
``(bb) The total dollar
amounts in subclauses (II) and
(IV) of subparagraph (A)(i), in
the aggregate.
``(cc) The number of
settlements in subclauses (I)
and (III) of subparagraph
(A)(i), individually.
``(dd) The dollar amounts
in subclauses (II) and (IV) of
subparagraph (A)(i),
individually.
``(ee) The total number of
judgments in subclauses (VI)
and (VIII) of subparagraph
(A)(i), in the aggregate.
``(ff) The total dollar
amounts in subclauses (VII) and
(IX) of subparagraph (A)(i), in
the aggregate.
``(gg) The number of
judgments in subclauses (VI)
and (VIII) of subparagraph
(A)(i), individually.
``(hh) The dollar amounts
in subclauses (VII) and (IX) of
subparagraph (A)(i),
individually.
``(II) For the 7-fiscal year period
that is comprised of the fiscal year
that is the subject of that disclosure
and the 6 fiscal years that precede
that fiscal year, the following:
``(aa) The total number of
settlements in subclauses (I)
and (III) of subparagraph
(A)(i), in the aggregate.
``(bb) The total dollar
amounts in subclauses (II) and
(IV) of subparagraph (A)(i), in
the aggregate.
``(cc) The total number of
judgments in subclauses (VI)
and (VIII) of subparagraph
(A)(i), in the aggregate.
``(dd) The total dollar
amounts in subclauses (VII) and
(IX) of subparagraph (A)(i), in
the aggregate.
``(ii) Listing.--In disclosing information
in the manner described in clause (i), a
covered issuer shall list a settlement or
judgment, as applicable, by any of the
following categories that apply to the
settlement or judgment:
``(I) A settlement or judgment
relating to an alleged act of sexual
abuse, covered discrimination, or
covered harassment because of sex.
``(II) A settlement or judgment
relating to an alleged act of covered
discrimination or covered harassment
because of race, color, or national
origin.
``(III) A settlement or judgment
relating to an alleged act of covered
discrimination or covered harassment
because of religion.
``(IV) A settlement or judgment
relating to an alleged act of covered
discrimination or covered harassment
because of age.
``(V) A settlement or judgment
relating to an alleged act of covered
discrimination or covered harassment on
the basis of disability.
``(VI) A settlement or judgment
relating to an alleged act of covered
discrimination or covered harassment
because of genetic information.
``(VII) A settlement or judgment
relating to an alleged act of covered
discrimination or covered harassment on
the basis of status concerning service
in a uniformed service.
``(VIII) A settlement or judgment
relating to an alleged act of covered
discrimination or covered harassment
because of sexual orientation or gender
identity.
``(C) Prohibitions on certain disclosures; victim
choice.--
``(i) Prohibition on disclosures by covered
issuers.--A covered issuer may not--
``(I) in any disclosure made under
subparagraph (A), or in any other
public disclosure, disclose the name of
a victim of an alleged act of sexual
abuse, covered harassment, or covered
discrimination on which a settlement,
judgment, or complaint, as applicable,
described in subparagraph (A) is based;
or
``(II) under subparagraph (B)(ii),
include the categorization of a
settlement or judgment described in
subclause (I), (III), (VI), or (VIII)
of subparagraph (A)(i), as applicable,
in any disclosure made under
subparagraph (A) if the victim of the
alleged act of sexual abuse, covered
harassment, or covered discrimination
on which the settlement or judgment is
based objects to the disclosure of that
categorization.
``(ii) Prohibition on disclosures by the
commission.--The Commission may not disclose
the name of a victim of an alleged act of
sexual abuse, covered harassment, or covered
discrimination on which a settlement, judgment,
or complaint, as applicable, described in
subparagraph (A) is based.
``(iii) Victim choice.--
``(I) In general.--A covered issuer
shall not be required to report
information under subparagraph (B)(i)
if the victim of the alleged act of
sexual abuse, covered harassment, or
covered discrimination on which the
settlement or judgment, as applicable,
is based objects to the reporting of
that information.
``(II) No effect on subsequent
years.--If information is not reported
in a fiscal year because of an
objection made under subclause (I),
that information shall be reported in
subsequent fiscal years under
subparagraph (B)(ii).
``(D) Prevention of sexual abuse, covered
harassment, and covered discrimination.--In each
disclosure required under subparagraph (A), the covered
issuer making the disclosure shall include a
description of the measures taken by the covered issuer
and any subsidiary, contractor, or subcontractor of the
covered issuer to prevent employees of the covered
issuer and any subsidiary, contractor, or subcontractor
of the covered issuer from committing or engaging in
sexual abuse, covered harassment, or covered
discrimination.
``(3) Regulations.--The Commission may promulgate such
regulations as the Commission considers necessary to implement
the requirements under paragraph (2).''.
<all>
</pre></body></html>
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118HR3079 | Back the Blue Act of 2023 | [
[
"B001298",
"Rep. Bacon, Don [R-NE-2]",
"sponsor"
],
[
"L000578",
"Rep. LaMalfa, Doug [R-CA-1]",
"cosponsor"
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[
"L000566",
... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3079 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3079
To protect law enforcement officers, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Bacon (for himself, Mr. LaMalfa, Mr. Carl, Mr. Newhouse, Mr. Latta,
Mr. Barr, Mr. Amodei, Ms. Stefanik, Mr. Allen, Mr. Johnson of Ohio, Mr.
Bilirakis, Mr. Meuser, Mr. Jackson of Texas, Mr. D'Esposito, Mr.
Lawler, Mr. LaLota, and Mr. Hudson) introduced the following bill;
which was referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To protect law enforcement officers, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Back the Blue Act of 2023''.
SEC. 2. PROTECTION OF LAW ENFORCEMENT OFFICERS.
(a) Killing of Law Enforcement Officers.--
(1) Offense.--Chapter 51 of title 18, United States Code,
is amended by adding at the end the following:
``Sec. 1123. Killing of law enforcement officers
``(a) Definitions.--In this section--
``(1) the terms `Federal law enforcement officer' and
`United States judge' have the meanings given those terms in
section 115;
``(2) the term `federally funded public safety officer'
means a public safety officer or judicial officer for a public
agency that--
``(A) receives Federal financial assistance; and
``(B) is an agency of an entity that is a State of
the United States, the District of Columbia, the
Commonwealth of Puerto Rico, the Virgin Islands, Guam,
American Samoa, the Commonwealth of the Northern
Mariana Islands, or any territory or possession of the
United States, an Indian tribe, or a unit of local
government of that entity;
``(3) the term `firefighter' includes an individual serving
as an official recognized or designated member of a legally
organized volunteer fire department and an officially
recognized or designated public employee member of a rescue
squad or ambulance crew;
``(4) the term `judicial officer' means a judge or other
officer or employee of a court, including prosecutors, court
security, pretrial services officers, court reporters, and
corrections, probation, and parole officers;
``(5) the term `law enforcement officer' means an
individual, with statutory arrest powers, involved in crime or
juvenile delinquency control or reduction or enforcement of the
laws;
``(6) the term `public agency' includes a court system, the
National Guard of a State to the extent the personnel of that
National Guard are not in Federal service, and the defense
forces of a State authorized by section 109 of title 32; and
``(7) the term `public safety officer' means an individual
serving a public agency in an official capacity, as a law
enforcement officer, as a firefighter, as a chaplain, or as a
member of a rescue squad or ambulance crew.
``(b) Offense.--It shall be unlawful for any person to--
``(1) commit, or attempt to or conspire to commit, murder
(within the meaning of section 1111(a)) or manslaughter (within
the meaning of section 1112(a)) against--
``(A) a United States judge;
``(B) a Federal law enforcement officer; or
``(C) a federally funded public safety officer
while that officer is engaged in official duties, or on
account of the performance of official duties; or
``(2) commit, or attempt to or conspire to commit, murder
(within the meaning of section 1111(a)) or manslaughter (within
the meaning of section 1112(a)) against a former United States
judge, Federal law enforcement officer, or federally funded
public safety officer on account of the past performance of
official duties.
``(c) Penalty.--Any person that violates subsection (b) shall be
fined under this title and imprisoned for not less than 10 years or for
life, or, if death results, shall be sentenced to not less than 30
years and not more than life, or may be punished by death.''.
(2) Table of sections.--The table of sections for chapter
51 of title 18, United States Code, is amended by adding at the
end the following:
``1123. Killing of law enforcement officers.''.
(b) Assault of Law Enforcement Officers.--
(1) Offense.--Chapter 7 of title 18, United States Code, is
amended by adding at the end the following:
``Sec. 120. Assaults of law enforcement officers
``(a) Definition.--In this section, the term `federally funded
State or local law enforcement officer' means an individual involved in
crime and juvenile delinquency control or reduction, or enforcement of
the laws (including a police, corrections, probation, or parole
officer) who works for a public agency (that receives Federal financial
assistance) of a State of the United States or the District of
Columbia.
``(b) Offense.--It shall be unlawful to assault a federally funded
State or local law enforcement officer while engaged in or on account
of the performance of official duties, or assaults any person who
formerly served as a federally funded State or local law enforcement
officer on account of the performance of such person's official duties
during such service, or because of the actual or perceived status of
the person as a federally funded State or local law enforcement
officer.
``(c) Penalty.--Any person that violates subsection (b) shall be
subject to a fine under this title and--
``(1) if the assault resulted in bodily injury (as defined
in section 1365), shall be imprisoned not less than 2 years and
not more than 10 years;
``(2) if the assault resulted in substantial bodily injury
(as defined in section 113), shall be imprisoned not less than
5 years and not more than 20 years;
``(3) if the assault resulted in serious bodily injury (as
defined in section 1365), shall be imprisoned for not less than
10 years;
``(4) if a deadly or dangerous weapon was used during and
in relation to the assault, shall be imprisoned for not less
than 20 years; and
``(5) shall be imprisoned for not more than 1 year in any
other case.
``(d) Certification Requirement.--
``(1) In general.--No prosecution of any offense described
in this section may be undertaken by the United States, except
under the certification in writing of the Attorney General, or
a designee, that--
``(A) the State does not have jurisdiction;
``(B) the State has requested that the Federal
Government assume jurisdiction;
``(C) the verdict or sentence obtained pursuant to
State charges left demonstratively unvindicated the
Federal interest in eradicating bias-motivated
violence; or
``(D) a prosecution by the United States is in the
public interest and necessary to secure substantial
justice.
``(2) Rule of construction.--Nothing in this subsection
shall be construed to limit the authority of Federal officers,
or a Federal grand jury, to investigate possible violations of
this section.
``(e) Statute of Limitations.--
``(1) Offenses not resulting in death.--Except as provided
in paragraph (2), no person shall be prosecuted, tried, or
punished for any offense under this section unless the
indictment for such offense is found, or the information for
such offense is instituted, not later than 7 years after the
date on which the offense was committed.
``(2) Offenses resulting in death.--An indictment or
information alleging that an offense under this section
resulted in death may be found or instituted at any time
without limitation.''.
(2) Table of sections.--The table of sections for chapter 7
of title 18, United States Code, is amended by adding at the
end the following:
``120. Assualts of law enforcement officers.''.
(c) Flight To Avoid Prosecution for Killing Law Enforcement
Officials.--
(1) Offense.--Chapter 49 of title 18, United States Code,
is amended by adding at the end the following:
``Sec. 1075. Flight to avoid prosecution for killing law enforcement
officials
``(a) Offense.--It shall be unlawful for any person to move or
travel in interstate or foreign commerce with intent to avoid
prosecution, or custody or confinement after conviction, under the laws
of the place from which the person flees or under section 1114 or 1123,
for a crime consisting of the killing, an attempted killing, or a
conspiracy to kill a Federal judge or Federal law enforcement officer
(as those terms are defined in section 115), or a federally funded
public safety officer (as that term is defined in section 1123).
``(b) Penalty.--Any person that violates subsection (a) shall be
fined under this title and imprisoned for not less than 10 years, in
addition to any other term of imprisonment for any other offense
relating to the conduct described in subsection (a).''.
(2) Table of sections.--The table of sections for chapter
49 of title 18, United States Code, is amended by adding at the
end the following:
``1075. Flight to avoid prosecution for killing law enforcement
officials.''.
SEC. 3. SPECIFIC AGGRAVATING FACTOR FOR FEDERAL DEATH PENALTY KILLING
OF LAW ENFORCEMENT OFFICER.
(a) Aggravating Factors for Homicide.--Section 3592(c) of title 18,
United States Code, is amended by inserting after paragraph (16) the
following:
``(17) Killing of a law enforcement officer, prosecutor,
judge, or first responder.--The defendant killed or attempted
to kill a person who is authorized by law--
``(A) to engage in or supervise the prevention,
detention, or investigation of any criminal violation
of law;
``(B) to arrest, prosecute, or adjudicate an
individual for any criminal violation of law; or
``(C) to be a firefighter or other first
responder.''.
SEC. 4. LIMITATION ON FEDERAL HABEAS RELIEF FOR MURDERS OF LAW
ENFORCEMENT OFFICERS.
(a) Justice for Law Enforcement Officers and Their Families.--
(1) In general.--Section 2254 of title 28, United States
Code, is amended by adding at the end the following:
``(j)(1) For an application for a writ of habeas corpus on behalf
of a person in custody pursuant to the judgment of a State court for a
crime that involved the killing of a public safety officer (as that
term is defined in section 1204 of title I of the Omnibus Crime Control
and Safe Streets Act of 1968 (42 U.S.C. 3796b)) or judge, while the
public safety officer or judge was engaged in the performance of
official duties, or on account of the performance of official duties by
or status as a public safety officer or judge of the public safety
officer or judge--
``(A) the application shall be subject to the time
limitations and other requirements under sections 2263, 2264,
and 2266; and
``(B) the court shall not consider claims relating to
sentencing that were adjudicated in a State court.
``(2) Sections 2251, 2262, and 2101 are the exclusive sources of
authority for Federal courts to stay a sentence of death entered by a
State court in a case described in paragraph (1).''.
(2) Rules.--Rule 11 of the Rules Governing Section 2254
Cases in the United States District Courts is amended by adding
at the end the following: ``Rule 60(b)(6) of the Federal Rules
of Civil Procedure shall not apply to a proceeding under these
rules in a case that is described in section 2254(j) of title
28, United States Code.''.
(3) Finality of determination.--Section 2244(b)(3)(E) of
title 28, United States Code, is amended by striking ``the
subject of a petition'' and all that follows and inserting:
``reheard in the court of appeals or reviewed by writ of
certiorari.''.
(4) Effective date and applicability.--
(A) In general.--This paragraph and the amendments
made by this paragraph shall apply to any case pending
on or after the date of enactment of this Act.
(B) Time limits.--In a case pending on the date of
enactment of this Act, if the amendments made by this
paragraph impose a time limit for taking certain
action, the period of which began before the date of
enactment of this Act, the period of such time limit
shall begin on the date of enactment of this Act.
(C) Exception.--The amendments made by this
paragraph shall not bar consideration under section
2266(b)(3)(B) of title 28, United States Code, of an
amendment to an application for a writ of habeas corpus
that is pending on the date of enactment of this Act,
if the amendment to the petition was adjudicated by the
court prior to the date of enactment of this Act.
SEC. 5. SELF-DEFENSE RIGHTS FOR LAW ENFORCEMENT OFFICERS.
(a) In General.--Chapter 203 of title 18, United States Code, is
amended by inserting after section 3053 the following:
``Sec. 3054. Authority of law enforcement officers to carry firearms
``Any sworn officer, agent, or employee of the United States, a
State, or a political subdivision thereof, who is authorized by law to
engage in or supervise the prevention, detection, investigation, or
prosecution of any violation of law, or to supervise or secure the
safety of incarcerated inmates, may carry firearms if authorized by law
to do so. Such authority to carry firearms, with respect to the lawful
performance of the official duties of a sworn officer, agent, or
employee of a State or a political subdivision thereof, shall include
possession incident to depositing a firearm within a secure firearms
storage area for use by all persons who are authorized to carry a
firearm within any building or structure classified as a Federal
facility or Federal court facility, as those terms are defined under
section 930, and any grounds appurtenant to such a facility.''.
(b) Carrying of Concealed Firearms by Qualified Law Enforcement
Officers.--Section 926B(e)(2) of title 18, United States Code, is
amended by inserting ``any magazine and'' after ``includes''.
(c) Carrying of Concealed Firearms by Qualified Retired Law
Enforcement Officers.--Section 926C(e)(1)(B) of title 18, United States
Code, is amended by inserting ``any magazine and'' after ``includes''.
(d) School Zones.--Section 922(q)(2)(B)(vi) of title 18, United
States Code, is amended by inserting ``or a qualified law enforcement
officer (as defined in section 926B(c))'' before the semicolon.
(e) Regulations Required.--Not later than 60 days after the date of
enactment of this Act, the Attorney General shall promulgate
regulations allowing persons described in section 3054 of title 18,
United States Code, to possess firearms in a manner described by that
section. With respect to Federal justices, judges, bankruptcy judges,
and magistrate judges, such regulations shall be prescribed after
consultation with the Judicial Conference of the United States.
(f) Table of Sections.--The table of sections for chapter 203 of
title 18, United States Code, is amended by inserting after the item
relating to section 3053 the following:
``3054. Authority of law enforcement officers to carry firearms.''.
(g) Further Amendment.--Section 930 of title 18, United States
Code, is amended--
(1) in subsection (d)--
(A) in paragraph (2), by striking ``or'' at the
end;
(B) in paragraph (3), by striking the period at the
end and inserting ``or''; and
(C) by adding at the end the following:
``(4) the possession of a firearm or ammunition in a
Facility Security Level I or II civilian public access facility
by a qualified law enforcement officer (as defined in section
926B(c)) or a qualified retired law enforcement officer (as
defined in section 926C(c)).''; and
(2) in subsection (g), by adding at the end the following:
``(4) The term `Facility Security Level' means a security
risk assessment level assigned to a Federal facility by the
security agency of the facility in accordance with the
biannually issued Interagency Security Committee Standard.
``(5) The term `civilian public access facility' means a
facility open to the general public.''.
<all>
</pre></body></html>
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118HR308 | Rosa Parks Day Act | [
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"A00... | <p><b>Rosa Parks Day Act</b></p> <p>This bill designates Rosa Parks Day as a federal holiday.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 308 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 308
To amend section 6103 of title 5, United States Code, to establish Rosa
Parks Day as a Federal holiday, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 12, 2023
Ms. Sewell (for herself, Mr. Horsford, Mrs. Beatty, Ms. Adams, Mr.
Allred, Mr. Bishop of Georgia, Mr. Bowman, Ms. Brown, Ms. Bush, Mr.
Carson, Mr. Carter of Louisiana, Ms. Clarke of New York, Mr. Clyburn,
Ms. Crockett, Mr. Davis of Illinois, Mr. Davis of North Carolina, Mr.
Evans, Mrs. Hayes, Ms. Jackson Lee, Mr. Jackson of Illinois, Mr.
Johnson of Georgia, Ms. Kelly of Illinois, Ms. Lee of California, Mrs.
McBath, Mr. Neguse, Ms. Omar, Mr. Payne, Ms. Strickland, Mrs. Sykes,
Mr. Thompson of Mississippi, Mr. Torres of New York, and Ms. Williams
of Georgia) introduced the following bill; which was referred to the
Committee on Oversight and Accountability
_______________________________________________________________________
A BILL
To amend section 6103 of title 5, United States Code, to establish Rosa
Parks Day as a Federal holiday, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Rosa Parks Day Act''.
SEC. 2. ROSA PARKS DAY AS A LEGAL PUBLIC HOLIDAY.
Section 6103(a) of title 5, United States Code, is amended by
inserting after the item relating to Thanksgiving Day the following:
``Rosa Parks Day.''.
<all>
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118HR3080 | Health Center Service Expansion and Provider Shortage Reduction Act | [
[
"B001303",
"Rep. Blunt Rochester, Lisa [D-DE-At Large]",
"sponsor"
],
[
"K000382",
"Rep. Kuster, Ann M. [D-NH-2]",
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"cospon... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3080 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3080
To amend title III of the Public Health Service Act to expand services
provided at community health centers, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. Blunt Rochester (for herself, Ms. Kuster, and Ms. Barragan)
introduced the following bill; which was referred to the Committee on
Energy and Commerce
_______________________________________________________________________
A BILL
To amend title III of the Public Health Service Act to expand services
provided at community health centers, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Health Center Service Expansion and
Provider Shortage Reduction Act''.
SEC. 2. EXPANSION OF SERVICES FOR COMMUNITY HEALTH CENTERS.
(a) Required Services.--
(1) In general.--Section 330(b)(1)(A)(i) of the Public
Health Service Act (42 U.S.C. 254b(b)(1)(A)(i)) is amended--
(A) in subclause (IV), by striking ``and'' at the
end;
(B) in subclause (V), by adding ``and'' at the end;
and
(C) by adding at the end the following:
``(VI) behavioral and mental health
and substance use disorder services;
and''.
(2) Conforming change.--Section 330(b)(2) of the Public
Health Service Act (42 U.S.C. 254b(b)(2)(A)) is amended--
(A) by striking subparagraph (A); and
(B) by redesignating subparagraphs (B), (C), and
(D) as subparagraphs (A), (B), and (C), respectively.
(b) Additional Funds for Certain Services.--Section 10503(b) of the
Patient Protection and Affordable Care Act (42 U.S.C. 254b-2(b)) is
amended--
(1) in paragraph (1)(F), by striking ``and'' at the end;
(2) in paragraph (2)(H), by striking the period at the end
and inserting a semicolon; and
(3) by adding at the end the following:
``(3) to be transferred to the Secretary of Health and
Human Services to provide enhanced funding to provide the
services specified in subclause (VI) of section 330(b)(1)(A)(i)
of the Public Health Service Act (42 U.S.C. 254b(b)(1)(A)(i)),
$700,000,000 for each of fiscal years 2024 through 2028;
``(4) to be transferred to the Secretary of Health and
Human Services to provide enhanced funding for health centers
to expand their hours of operation using funds under section
330 of the Public Health Service Act (42 U.S.C. 254b),
$250,000,000 for each of fiscal years 2024 through 2028;
``(5) to be transferred to the Secretary of Health and
Human Services to provide enhanced funding for new access
points and expanded services pursuant to section 330(e)(6) of
the Public Health Service Act (42 U.S.C. 254b(e)(6)),
$150,000,000 for each of fiscal years 2024 through 2028; and''.
SEC. 3. ADDITIONAL FUNDS TO INCREASE THE NUMBER OF CERTAIN NATIONAL
HEALTH SERVICE CORPS MEMBERS.
Section 10503(b) of the Patient Protection and Affordable Care Act
(42 U.S.C. 254b-2(b)), as amended by section 2(c), is further amended
by adding at the end the following:
``(6) to be transferred to the Secretary of Health and
Human Services to provide enhanced funding to take appropriate
measures under subparts II and III of part D of title III of
the Public Health Service Act (42 U.S.C. 254d et seq.) to
increase the number of National Health Service Corps members
who are primary care providers, behavioral and mental health
professionals, and dentists serving in health professional
shortage areas, $480,000,000 for each of fiscal years 2024
through 2028.''.
<all>
</pre></body></html>
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118HR3081 | NOPEC | [
[
"B001297",
"Rep. Buck, Ken [R-CO-4]",
"sponsor"
],
[
"N000002",
"Rep. Nadler, Jerrold [D-NY-12]",
"cosponsor"
],
[
"C001084",
"Rep. Cicilline, David N. [D-RI-1]",
"cosponsor"
],
[
"S001150",
"Rep. Schiff, Adam B. [D-CA-30]",
"cosponsor"
]
] | <p><b>No Oil Producing and Exporting Cartels Act of 2023 or NOPEC </b></p> <p>This bill prohibits a foreign state from engaging in collective action impacting the market, supply, price, or distribution of oil, natural gas, or any other petroleum product in the U.S. Specifically, a foreign state is prohibited from</p> <ul> <li>collective action that limits the production or distribution of such product, </li> <li>collective action to set or maintain the price of such product, or </li> <li>any other action that restrains trade of such product. </li> </ul> <p>Specified defenses such as sovereign immunity (i.e., a foreign state's immunity from the jurisdiction of U.S. courts) and the act of state doctrine (i.e., the prohibition of a court invalidating an official act of a foreign sovereign performed within its own territory) shall not apply to a foreign state's violation of this bill.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3081 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3081
To amend the Sherman Act to make oil-producing and exporting cartels
illegal.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Buck (for himself, Mr. Nadler, and Mr. Cicilline) introduced the
following bill; which was referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To amend the Sherman Act to make oil-producing and exporting cartels
illegal.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``No Oil Producing and Exporting
Cartels Act of 2023'' or ``NOPEC''.
SEC. 2. SHERMAN ACT.
The Sherman Act (15 U.S.C. 1 et seq.) is amended by adding after
section 7 the following:
``SEC. 7A. OIL PRODUCING CARTELS.
``(a) In General.--It shall be illegal and a violation of this Act
for any foreign state, or any instrumentality or agent of any foreign
state, to act collectively or in combination with any other foreign
state, any instrumentality or agent of any other foreign state, or any
other person, whether by cartel or any other association or form of
cooperation or joint action--
``(1) to limit the production or distribution of oil,
natural gas, or any other petroleum product;
``(2) to set or maintain the price of oil, natural gas, or
any petroleum product; or
``(3) to otherwise take any action in restraint of trade
for oil, natural gas, or any petroleum product,
when such action, combination, or collective action has a direct,
substantial, and reasonably foreseeable effect on the market, supply,
price, or distribution of oil, natural gas, or other petroleum product
in the United States.
``(b) Inapplicability of Defenses.--No court of the United States
shall decline, based on the act of state, foreign sovereign compulsion,
or political question doctrines to make a determination on the merits
in an action brought under this section.
``(c) Enforcement.--The Attorney General of the United States shall
have the sole authority to bring an action to enforce this section. Any
such action shall be brought in any district court of the United States
as provided under the antitrust laws.''.
SEC. 3. NO SOVEREIGN IMMUNITY IN OIL CARTEL CASES.
Title 28 of the United States Code is amended--
(1) in section 1605(a)--
(A) in paragraph (5) by striking ``or'' after the
semicolon,
(B) in paragraph (6) by striking the period and
inserting ``; or'', and
(C) by adding at the end the following:
``(7) in which the action is brought under section 7A of
the Sherman Act.'', and
(2) in section 1610(a)--
(A) in paragraph (7) by striking the period at the
end and inserting ``, or'', and
(B) by adding at the end the following:
``(8) the judgment relates to a claim that is brought under
section 7A of the Sherman Act.''.
SEC. 4. SEVERABILITY.
If any provision of this Act (or of an amendment made by this Act)
is held invalid the remainder of this Act (or of the amendment) shall
not be affected thereby.
<all>
</pre></body></html>
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118HR3082 | MOBILE Act | [
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[From the U.S. Government Publishing Office]
[H.R. 3082 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3082
To require the Administrator of the Federal Aviation Administration to
issue regulations concerning accommodations for powered wheelchairs,
and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Cohen (for himself and Mr. Stauber) introduced the following bill;
which was referred to the Committee on Transportation and
Infrastructure
_______________________________________________________________________
A BILL
To require the Administrator of the Federal Aviation Administration to
issue regulations concerning accommodations for powered wheelchairs,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Mobility aids On Board Improve Lives
and Empower all Act'' or the ``MOBILE Act''.
SEC. 2. REGULATIONS RELATED TO POWERED WHEELCHAIRS; OTHER EVALUATIONS
REGARDING WHEELCHAIRS.
(a) Rulemaking.--Not later than 1 year after the date of enactment
of this section, the Secretary of Transportation (in this section
referred to as the ``Secretary'') shall issue a notice of proposed
rulemaking requiring air carriers and foreign air carriers (as defined
in section 40102 of title 49, United States Code)--
(1) to publish, on a prominent and easily accessible place
on the website of the carrier, information describing the
dimensions of the cargo holds of all aircraft types in the air
carrier's fleet, including the dimensions of the cargo hold
entry; and
(2) in the case of a qualified individual with a disability
(as defined in section 382.3 of title 14, Code of Federal
Regulations) traveling with a wheelchair (including a powered
wheelchair, manual wheelchair, or scooter) who has purchased a
ticket for a flight from the air carrier but who cannot fly on
the existing aircraft because the wheelchair of such qualified
individual cannot fit in the cargo hold, to offer a refund to
such qualified individual of any previously paid fares, fees,
and taxes applicable to such flight.
(b) Evaluation of Data Regarding Mishandled Wheelchairs.--Not later
than 6 months after the date of enactment of this section, and annually
thereafter, the Secretary shall--
(1) evaluate data (which shall be delineated by type of
wheelchair being mishandled, such as powered wheelchairs,
manual wheelchairs, and scooters, and by type of mishandling,
such as damage (including the type of damage, such as broken
drive wheels or casters, bent or broken frames, damage to
electrical connectors or wires, control input devices,
joysticks, upholstery, or other components, and any other type
of damage deemed appropriate by the Secretary), delay, or loss)
regarding the frequency of mishandling of wheelchairs (as
defined in section 37.3 of title 49, Code of Federal
Regulations) occurring on aircraft;
(2) determine whether there are issues with respect to such
frequency and type of mishandling; and
(3) review and report any claims for which an air carrier
has conclusive evidence of fraud.
(c) Report on Mishandled Wheelchairs.--Not later than 6 months
after the date of enactment of this section, the Secretary shall submit
to the Committee on Commerce, Science, and Transportation of the Senate
and the Committee on Transportation and Infrastructure of the House of
Representatives a report (which shall be made publicly available on the
website of the Department of Transportation) regarding the results of
each such evaluation and determination under subsection (b), including
how the Secretary plans to address such results through consultation
with air carriers, wheelchair manufacturers, national disability and
disabled veterans organizations, and other relevant stakeholders.
(d) Feasibility of In-Cabin Wheelchair Restraint Systems.--
(1) Roadmap.--Not later than 1 year after the date of
enactment of this section, the Secretary shall submit to the
Committee on Commerce, Science, and Transportation of the
Senate and the Committee on Transportation and Infrastructure
of the House of Representatives a publicly available strategic
roadmap that describes how the Department of Transportation and
the United States Access Board, respectively, shall, in
accordance with the recommendations from the National Academies
of Science, Engineering, and Mathematics Transportation
Research Board Special Report 341--
(A) establish a program of research, in
collaboration with the Rehabilitation Engineering and
Assistive Technology Society of North America (RESNA),
the assistive technology industry, air carriers,
original equipment manufacturers, national disability
and disabled veterans organizations, and any other
relevant stakeholders, to test and evaluate an
appropriate selection of WC19-compliant wheelchairs and
accessories in accordance with applicable Federal
Aviation Administration crashworthiness and safety
performance criteria, including the issues and
considerations set forth in Special Report 341; and
(B) sponsor studies that assess issues and
considerations, including those set forth in Special
Report 341, such as--
(i) the likely demand for air travel by
individuals who are nonambulatory if such
individuals could remain seated in their
personal wheelchairs in flight; and
(ii) the feasibility of implementing
seating arrangements that would accommodate
passengers in wheelchairs in the main cabin in
flight.
(2) Study.--If determined to be technically feasible by the
Secretary, not later than 2 years after making such
determination, the Secretary shall commence a study to assess
the economic and financial feasibility of air carriers and
foreign air carriers implementing seating arrangements that
accommodate passengers with wheelchairs (including powered
wheelchairs, manual wheelchairs, and scooters) in the main
cabin during flight. Such study shall include an assessment
of--
(A) the cost of such seating arrangements,
equipment, and installation;
(B) the demand for such seating arrangements;
(C) the impact of such seating arrangements on
passenger seating and safety on aircraft;
(D) the impact of such seating arrangements on the
cost of operations and airfare; and
(E) any other information determined appropriate by
the Secretary.
(3) Report.--Not later than 1 year after the date on which
the study under paragraph (2) is completed, the Secretary shall
submit to the Committee on Commerce, Science, and
Transportation of the Senate and the Committee on
Transportation and Infrastructure of the House of
Representatives a publicly available report describing the
results of the study conducted under paragraph (2), together
with any recommendations the Secretary determines appropriate.
(e) Authorization of Appropriations.--There are authorized to be
appropriated such sums as are necessary to carry out this section.
<all>
</pre></body></html>
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118HR3083 | National Concussion and Traumatic Brain Injury Clearinghouse Act of 2023 | [
[
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"sponsor"
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[
"B001298",
"Rep. Bacon, Don [R-NE-2]",
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] | <p><strong>National Concussion and Traumatic Brain Injury Clearinghouse Act of 2023</strong></p> <p>This bill establishes a clearinghouse for information (e.g., best practices and research) about concussions and traumatic brain injuries for medical professionals, patients, and other stakeholders. The Department of Health and Human Services and the Centers for Disease Control and Prevention must maintain the clearinghouse.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3083 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3083
To direct the Secretary of Health and Human Services to maintain a
National Concussion and Traumatic Brain Injury Clearinghouse.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Connolly (for himself and Mr. Bacon) introduced the following bill;
which was referred to the Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To direct the Secretary of Health and Human Services to maintain a
National Concussion and Traumatic Brain Injury Clearinghouse.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``National Concussion and Traumatic
Brain Injury Clearinghouse Act of 2023''.
SEC. 2. NATIONAL CONCUSSION AND TRAUMATIC BRAIN INJURY CLEARINGHOUSE.
(a) In General.--The Secretary of Health and Human Services, acting
jointly with the Director of the Centers for Disease Control and
Prevention, shall establish and maintain a clearinghouse of concussion
and traumatic brain injury best practices, medical knowledge,
appropriate certification, and research, to be known as the National
Concussion and Traumatic Brain Injury Clearinghouse.
(b) Design.--The clearinghouse under this section shall be designed
to provide vetted, high-quality information on concussion and traumatic
brain injury, and associated comorbidities--
(1) to medical professionals so they may access reliable
best-practice information to provide appropriate care for their
patients; and
(2) to patients and other stakeholders so they may--
(A) easily find appropriate medical professionals;
and
(B) access high-quality information.
(c) Arrangements With Other Entities.--In carrying out this
section, the Secretary of Health and Human Services may disseminate
information through arrangements with nonprofit organizations, consumer
groups, Federal, State, or local agencies, or the media.
(d) Timing.--The Secretary of Health and Human Services shall
establish the clearinghouse required by subsection (a) not later than
120 days after the date of enactment of this Act.
<all>
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118HR3084 | Veterans Jobs Opportunity Act | [
[
"D000230",
"Rep. Davis, Donald G. [D-NC-1]",
"sponsor"
],
[
"N000193",
"Rep. Nunn, Zachary [R-IA-3]",
"cosponsor"
]
] | <p><strong>Veterans Jobs Opportunity Act</strong></p> <p>This bill allows a new business-related tax credit for the start-up expenses of a veteran-owned small business in an underserved community. </p> <p>The allowable amount of such credit is 15% of start-up expenditures that do not exceed $50,000. To be eligible for the credit, the small business must (1) be owned and controlled by one or more veterans or their spouses, and (2) have its principal place of business in an underserved community. </p> <p>An <em>underserved community</em> is any area located within (1) a HUBZone (as defined by the Small Business Act), (2) an empowerment zone or an enterprise community, (3) an area of low income or moderate income (as recognized by the Federal Financial Institutions Examination Council), or (4) a county with persistent poverty (as classified by the Economic Research Service of the Department of Agriculture).</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3084 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3084
To amend the Internal Revenue Code of 1986 to establish a small
business start-up tax credit for veterans creating businesses in
underserved communities.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Davis of North Carolina (for himself and Mr. Nunn of Iowa)
introduced the following bill; which was referred to the Committee on
Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to establish a small
business start-up tax credit for veterans creating businesses in
underserved communities.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Veterans Jobs Opportunity Act''.
SEC. 2. VETERAN SMALL BUSINESS START-UP CREDIT.
(a) In General.--Subpart D of part IV of subchapter A of chapter 1
of the Internal Revenue Code of 1986 is amended by adding at the end
the following new section:
``SEC. 45BB. VETERAN SMALL BUSINESS START-UP CREDIT.
``(a) In General.--For purposes of section 38, the veteran small
business start-up credit determined under this section for any taxable
year is an amount equal to 15 percent of so much of the qualified
start-up expenditures paid or incurred by the taxpayer during such
taxable year with respect to an applicable veteran-owned business as
does not exceed $50,000.
``(b) Definitions.--For purposes of this section--
``(1) Applicable veteran-owned small business.--The term
`applicable veteran-owned small business' means a small
business--
``(A) owned and controlled by 1 or more veterans or
spouses of veterans, and
``(B) the principal place of business of which is
in an underserved community.
``(2) Ownership and control.--The term `owned and
controlled' means--
``(A) with respect to any of the individuals
described in paragraph (1)(A), that the conduct of any
trade or business of the small business is not a
passive activity (as defined in section 469(c)), and
``(B) with respect to the small business--
``(i) such small business is a sole
proprietorship,
``(ii) if such small business is a
corporation, ownership (by vote or value) by
the individuals described in paragraph (1)(A)
of greater than 50 percent of the stock in such
corporation, or
``(iii) if such small business is a
partnership, ownership by the individuals
described in paragraph (1)(A) of greater than
50 percent of the profits interests or capital
interests in such partnership.
``(3) Qualified start-up expenditures.--The term `qualified
start-up expenditures' means--
``(A) any start-up expenditures (as defined in
section 195(c)), and
``(B) any amounts paid or incurred during the
taxable year for the purchase or lease of real
property, or the purchase of personal property, placed
in service during the taxable year and used in the
active conduct of a trade or business.
``(4) Small business.--
``(A) In general.--The term `small business' means,
with respect to any taxable year, any person engaged in
a trade or business in the United States if--
``(i) the gross receipts of such person for
the preceding taxable year did not exceed
$5,000,000, or
``(ii) in the case of a person to which
clause (i) does not apply, such person employed
not more than 50 full-time employees during the
preceding taxable year.
``(B) Full-time employee.--For purposes of
subparagraph (A)(ii), an employee shall be considered
full-time if such employee is employed at least 30
hours per week for 20 or more calendar weeks in the
taxable year.
``(5) Underserved community.--The term `underserved
community' means any area located within--
``(A) a HUBZone (as defined in section 3(p) of the
Small Business Act (15 U.S.C. 632(p)), as in effect on
the date of enactment of this section),
``(B) an empowerment zone, or enterprise community,
designated under section 1391 (and without regard to
whether or not such designation remains in effect),
``(C) an area of low income or moderate income (as
recognized by the Federal Financial Institutions
Examination Council), or
``(D) a county with persistent poverty (as
classified by the Economic Research Service of the
Department of Agriculture).
``(6) Veteran or spouse of veteran.--The term `veteran or
spouse of a veteran' has the meaning given such term by section
7(a)(31)(G)(ii) of the Small Business Act (15 U.S.C.
636(a)(31)(G)(ii), as in effect on the date of enactment of
this section).
``(c) Special Rules.--For purposes of this section--
``(1) Election to take credit.--No credit shall be allowed
under subsection (a) for any expenditures unless the taxpayer
elects to have this section apply to such expenditures.
``(2) Year of election.--The taxpayer may elect the
application of this section only for the first 2 taxable years
for which ordinary and necessary expenses paid or incurred in
carrying on such trade or business are allowable as a deduction
by the taxpayer under section 162.
``(3) Controlled groups and common control.--All persons
treated as a single employer under subsections (a) and (b) of
section 52 shall be treated as 1 person.
``(4) No double benefit.--If a credit is determined under
this section with respect to any property, the basis of such
property shall be reduced by the amount of the credit
attributable to such property.''.
(b) Clerical Amendment.--The table of sections for subpart D of
part IV of subchapter A of chapter 1 of the Internal Revenue Code of
1986 is amended by adding at the end the following new item:
``Sec. 45BB. Veteran small business start-up credit.''.
(c) Part of General Business Credit.--Section 38(b) of such Code is
amended by striking ``plus'' at the end of paragraph (40), by striking
the period at the end of paragraph (41) and inserting ``plus'', and by
adding at the end the following new paragraph:
``(42) the veteran small business start-up credit
determined under section 45BB.''.
(d) Report by Treasury Inspector General for Tax Administration.--
Every fourth year after the date of the enactment of this Act, the
Treasury Inspector General for Tax Administration shall include in one
of the semiannual reports under section 5 of the Inspector General Act
of 1978 with respect to such year, an evaluation of the credit allowed
under section 45BB of the Internal Revenue Code of 1986 (as added by
this section), including an evaluation of the success of, and
accountability with respect to, such credit.
(e) Effective Date.--The amendments made by this section shall
apply to taxable years beginning after the date of the enactment of
this Act.
<all>
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118HR3085 | Coast Guard Combat-Injured Tax Fairness Act | [
[
"D000230",
"Rep. Davis, Donald G. [D-NC-1]",
"sponsor"
],
[
"B001298",
"Rep. Bacon, Don [R-NE-2]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3085 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3085
To amend the Combat-Injured Veterans Tax Fairness Act of 2016 to apply
to members of the Coast Guard when the Coast Guard is not operating as
a service in the Department of the Navy, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Davis of North Carolina (for himself and Mr. Bacon) introduced the
following bill; which was referred to the Committee on Transportation
and Infrastructure, and in addition to the Committee on Ways and Means,
for a period to be subsequently determined by the Speaker, in each case
for consideration of such provisions as fall within the jurisdiction of
the committee concerned
_______________________________________________________________________
A BILL
To amend the Combat-Injured Veterans Tax Fairness Act of 2016 to apply
to members of the Coast Guard when the Coast Guard is not operating as
a service in the Department of the Navy, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Coast Guard Combat-Injured Tax
Fairness Act''.
SEC. 2. RESTORATION OF AMOUNTS IMPROPERLY WITHHELD FOR TAX PURPOSES
FROM SEVERANCE PAYMENTS TO VETERANS OF THE COAST GUARD
WITH COMBAT-RELATED INJURIES.
(a) Application to Members of the Coast Guard When the Coast Guard
Is Not Operating as a Service in the Department of the Navy.--The
Combat-Injured Veterans Tax Fairness Act of 2016 (Public Law 114-292;
10 U.S.C. 1212 note) is amended--
(1) in section 3(a)--
(A) in the matter preceding paragraph (1), by
inserting ``(and the Secretary of Homeland Security,
with respect to the Coast Guard when it is not
operating as a service in the Department of the Navy,
and the Secretary of Transportation, with respect to
the Coast Guard during the period in which it was
operating as a service in the Department of
Transportation)'' after ``the Secretary of Defense'';
and
(B) in paragraph (1)(A)--
(i) in clause (i), by striking ``the
Secretary'' and inserting ``the Secretary of
Defense (or the Secretary of Homeland Security
or the Secretary of Transportation, with
respect to the Coast Guard, as applicable)'';
(ii) in clause (ii), by striking ``the
Secretary'' and inserting ``the Secretary of
Defense (or the Secretary of Homeland Security
or the Secretary of Transportation, with
respect to the Coast Guard, as applicable)'';
and
(iii) in clause (iv), by striking ``the
Secretary'' and inserting ``the Secretary of
Defense (or the Secretary of Homeland Security
or the Secretary of Transportation, with
respect to the Coast Guard, as applicable)'';
(2) in section 4--
(A) in the section heading, by inserting ``and
secretary of homeland security'' after ``secretary of
defense'';
(B) by inserting ``(and the Secretary of Homeland
Security with respect to the Coast Guard when it is not
operating as a service in the Department of the Navy)''
after ``The Secretary of Defense''; and
(C) by striking ``made by the Secretary'' and
inserting ``made by the Secretary of Defense (or the
Secretary of Homeland Security with respect to the
Coast Guard)''; and
(3) in section 5--
(A) in subsection (a)--
(i) by inserting ``(and the Secretary of
Homeland Security, with respect to the Coast
Guard when it is not operating as a service in
the Department of the Navy, and the Secretary
of Transportation, with respect to the Coast
Guard during the period in which it was
operating as a service in the Department of
Transportation)'' after ``the Secretary of
Defense''; and
(ii) by striking ``the Secretary to'' and
inserting ``the Secretary of Defense (or the
Secretary of Homeland Security or the Secretary
of Transportation, with respect to the Coast
Guard, as applicable) to''; and
(B) in subsection (b)--
(i) in paragraph (2), by striking ``the
Secretary'' and inserting ``the Secretary of
Defense (or the Secretary of Homeland Security
or the Secretary of Transportation, with
respect to the Coast Guard, as applicable)'';
and
(ii) in paragraph (3), by striking ``the
Secretary'' and inserting ``the Secretary of
Defense (or the Secretary of Homeland Security,
with respect to the Coast Guard when it is not
operating as a service in the Department of the
Navy)''.
(b) Deadlines.--
(1) Identification of amounts improperly withheld and
reporting.--The Secretary of Homeland Security and the
Secretary of Transportation shall carry out the requirements
under--
(A) section 3(a) of the Combat-Injured Veterans Tax
Fairness Act of 2016 (Public Law 114-292; 10 U.S.C.
1212 note), as amended by subsection (a)(1), not later
than one year after the date of the enactment of this
Act; and
(B) section 5 of that Act, as amended by subsection
(a)(3), not later than one year after the date of the
enactment of this Act.
(2) Ensuring amounts are not improperly withheld.--The
Secretary of Homeland Security shall carry out the requirements
under section 4 of the Combat-Injured Veterans Tax Fairness Act
of 2016 (Public Law 114-292; 10 U.S.C. 1212 note), as amended
by subsection (a)(2), beginning on the date of the enactment of
this Act.
<all>
</pre></body></html>
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118HR3086 | Find It Early Act | [
[
"D000216",
"Rep. DeLauro, Rosa L. [D-CT-3]",
"sponsor"
],
[
"F000466",
"Rep. Fitzpatrick, Brian K. [R-PA-1]",
"cosponsor"
],
[
"K000376",
"Rep. Kelly, Mike [R-PA-16]",
"cosponsor"
],
[
"C001127",
"Rep. Cherfilus-McCormick, Sheila [D-FL-20]",
"cosponsor"
... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3086 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3086
To provide for health coverage with no cost-sharing for additional
breast screenings for certain individuals at greater risk for breast
cancer.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. DeLauro (for herself, Mr. Fitzpatrick, Mr. Kelly of Pennsylvania,
Mrs. Cherfilus-McCormick, Mr. Garcia of Illinois, Mr. Payne, Ms.
Velazquez, Ms. Kaptur, Mr. Morelle, Ms. Pettersen, Mrs. Hayes, Ms.
Stevens, Mr. Landsman, Ms. Brownley, Ms. Schakowsky, Ms. Sewell, Ms.
Jackson Lee, and Mr. Courtney) introduced the following bill; which was
referred to the Committee on Energy and Commerce, and in addition to
the Committees on Ways and Means, Armed Services, and Veterans'
Affairs, for a period to be subsequently determined by the Speaker, in
each case for consideration of such provisions as fall within the
jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To provide for health coverage with no cost-sharing for additional
breast screenings for certain individuals at greater risk for breast
cancer.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Find It Early Act''.
SEC. 2. COVERAGE WITH NO COST-SHARING FOR ADDITIONAL BREAST SCREENINGS
FOR CERTAIN INDIVIDUALS AT GREATER RISK FOR BREAST
CANCER.
(a) Coverage Under Group Health Plans and Group and Individual
Health Insurance Coverage.--
(1) In general.--Section 2713(a) of the Public Health
Service Act (42 U.S.C. 300gg-13(a)) is amended--
(A) in paragraph (2), by striking at the end
``and'';
(B) in paragraph (3), by striking at the end the
period and inserting a semicolon;
(C) in paragraph (4), by striking at the end the
period and inserting ``; and'';
(D) by striking ``(5) for the purposes of this
Act,'' and inserting:
``For the purposes of this Act, subject to paragraph (5)''; and
(E) by inserting after paragraph (4) the following:
``(5) for plan years beginning on or after January 1, 2024,
in addition to any items or services otherwise described in
this subsection--
``(A) with respect to an individual who is at
increased risk of breast cancer (as determined in
accordance with the most recent applicable American
College of Radiology Appropriateness Criteria or the
most recent applicable guidelines of the National
Comprehensive Cancer Network) or with heterogeneously
or extremely dense breast tissue (as defined by the
Breast Imaging Reporting and Data System established by
the American College of Radiology), screening and
diagnostic imaging (with no limitation applied on
frequency) for the detection of breast cancer,
including 2D or 3D mammograms, breast ultrasounds,
breast magnetic resonance imaging, or other
technologies (as determined in accordance with such
applicable criteria or guidelines); and
``(B) with respect to an individual who is not
described in subparagraph (A) and who is determined by
a health care provider (in accordance with such most
recent applicable criteria or guidelines) to require
screening or diagnostic breast imaging by reason of
factors, including age, race, ethnicity, or personal or
family medical history, screening and diagnostic
imaging (with no limitation applied on frequency) for
the detection of breast cancer, including 2D or 3D
mammograms, breast ultrasounds, breast magnetic
resonance imaging, or other technologies (as determined
in accordance with such applicable criteria or
guidelines).''.
(2) Application to grandfathered plans.--Notwithstanding
section 1251 of the Patient Protection and Affordable Care Act,
the provisions of paragraph (5) of section 2713(a) of the
Public Health Service Act, as added by paragraph (1)(E), shall
apply to grandfathered health plans described in such section
1251 for plan years beginning on or after January 1, 2024.
(b) Coverage Under Medicare.--
(1) In general.--Section 1861(ddd)(1)(B) of the Social
Security Act (42 U.S.C. 1395x(ddd)(1)(B)) is amended--
(A) by striking ``(B) recommended'' and inserting
``(B)(i) recommended'';
(B) by striking ``Task Force; and'' and inserting
``Task Force; or''; and
(C) by adding at the end the following new clause:
``(ii) beginning on January 1, 2024, in addition to
any other items or services described in this
subsection--
``(I) with respect to an individual who is
at increased risk of breast cancer (as
determined in accordance with the most recent
applicable American College of Radiology
Appropriateness Criteria or the most recent
applicable guidelines of the National
Comprehensive Cancer Network) or with
heterogeneously or extremely dense breast
tissue (as defined by the Breast Imaging
Reporting and Data System established by the
American College of Radiology), screening and
diagnostic imaging (with no limitation applied
on frequency) for the detection of breast
cancer, including 2D or 3D mammograms, breast
ultrasounds, breast magnetic resonance imaging,
or other technologies (as determined in
accordance with such applicable criteria or
guidelines); and
``(II) with respect to an individual who is
not described in subclause (I) and who is
determined by a health care provider (in
accordance with such most recent applicable
criteria or guidelines) to require screening or
diagnostic breast imaging by reason of factors,
including age, race, ethnicity, or personal or
family medical history, screening and
diagnostic imaging (with no limitation applied
on frequency) for the detection of breast
cancer, including 2D or 3D mammograms, breast
ultrasounds, breast magnetic resonance imaging,
or other technologies (as determined in
accordance with such applicable criteria or
guidelines); and''.
(2) Application of no cost-sharing under medicare advantage
plans.--Section 1852(a)(1)(B) of the Social Security Act (42
U.S.C. 1395w-22(a)(1)(B)) is amended--
(A) in clause (iv)--
(i) by redesignating subclause (VIII) as
subclause (IX); and
(ii) inserting after subclause (VII) the
following:
``(VIII) Beginning on January 1,
2024, screening and diagnostic imaging
and other technologies described in
subclause (I) or (II) of section
1861(ddd)(1)(B)(ii) furnished to an
individual described in such subclause
(I) or (II), respectively.''; and
(B) in clause (v), by striking ``and (VI)'' and
inserting ``(VI), and (VIII)''.
(c) Coverage Under Medicaid.--
(1) In general.--Section 1905(a) of the Social Security Act
(42 U.S.C. 1396d(a)) is amended--
(A) in paragraph (4)--
(i) by striking ``; and (D)'' and inserting
``; (D)'';
(ii) by striking ``; and (E)'' and
inserting ``; (E)'';
(iii) by striking ``; and (F)'' and
inserting ``; (F)''; and
(iv) by inserting before the semicolon at
the end the following: ``; and (G)(i) with
respect to an individual who is at increased
risk of breast cancer (as determined in
accordance with the most recent applicable
American College of Radiology Appropriateness
Criteria or the most recent applicable
guidelines of the National Comprehensive Cancer
Network) or with heterogeneously or extremely
dense breast tissue (as defined by the Breast
Imaging Reporting and Data System established
by the American College of Radiology), in
addition to any other item or service described
in this subsection, screening and diagnostic
imaging (with no limitation applied on
frequency) for the detection of breast cancer,
including 2D or 3D mammograms, breast
ultrasounds, breast magnetic resonance imaging,
or other technologies (as determined in
accordance with such applicable criteria or
guidelines); and (ii) with respect to an
individual who is not described in clause (i)
and who is determined by a health care provider
(in accordance with such most recent applicable
criteria or guidelines) to require screening or
diagnostic breast imaging by reason of factors,
including age, race, ethnicity, or personal or
family medical history, screening and
diagnostic imaging (with no limitation applied
on frequency) for the detection of breast
cancer, including 2D or 3D mammograms, breast
ultrasounds, breast magnetic resonance imaging,
or other technologies (as determined in
accordance with such applicable criteria or
guidelines)''; and
(B) in paragraph (13), in the matter preceding
subparagraph (A), by inserting ``(other than an item or
service for which medical assistance is provided
pursuant to paragraph (4)(G))'' after ``services''.
(2) No cost-sharing for certain breast cancer screening and
diagnostic imaging.--
(A) In general.--Subsections (a)(2) and (b)(2) of
section 1916 of the Social Security Act (42 U.S.C.
1396o(a)(2)(D)) are each amended--
(i) in the last subparagraph, by striking
at the end ``; and'' and inserting ``, or'';
and
(ii) by adding at the end the following
subparagraph:
``(K) with respect to an individual described in
clause (i) or (ii) of section 1905(a)(4)(G), screening
and diagnostic imaging and other technologies described
in such clause (i) or (ii), respectively; and''.
(B) Application to alternative cost-sharing.--
Section 1916A(b)(3)(B) of the Social Security Act (42
U.S.C. 1396o-1(b)(3)(B)) is amended by adding at the
end the following new clause:
``(xv) With respect to an individual
described in clause (i) or (ii) of section
1905(a)(4)(G), screening and diagnostic imaging
and other technologies described in such clause
(i) or (ii), respectively.''.
(3) Inclusion in benchmark coverage.--Section 1937(b) of
the Social Security Act (42 U.S.C. 1396u-7(b)) is amended by
adding at the end the following new paragraph:
``(9) Coverage of certain breast cancer screening and
diagnostic imaging for certain individuals.--Notwithstanding
the previous provisions of this section, a State may not
provide for medical assistance through enrollment of an
individual with benchmark coverage or benchmark-equivalent
coverage under this section unless such coverage includes
medical assistance, with respect to an individual described in
clause (i) or (ii) of section 1905(a)(4)(G), for screening and
diagnostic imaging and other technologies described in such
clause (i) or (ii), respectively.''.
(4) Effective date.--
(A) In general.--Except as provided in subparagraph
(B), the amendments made by this subsection shall take
effect on January 1, 2024.
(B) Delay permitted if state legislation
required.--In the case of a State plan approved under
title XIX of the Social Security Act which the
Secretary of Health and Human Services determines
requires State legislation (other than legislation
appropriating funds) in order for the plan to meet the
additional requirements imposed by this section, the
State plan shall not be regarded as failing to comply
with the requirements of such title solely on the basis
of the failure of the plan to meet such additional
requirements before the first day of the first calendar
quarter beginning after the close of the first regular
session of the State legislature that ends after the 1-
year period beginning with the date of the enactment of
this section. For purposes of the preceding sentence,
in the case of a State that has a 2-year legislative
session, each year of the session is deemed to be a
separate regular session of the State legislature.
(d) Coverage and Elimination of Cost-Sharing Under TRICARE.--
(1) Coverage.--Title 10, United States Code, is amended--
(A) in section 1074d(a), by adding at the end the
following new paragraph:
``(3) Any member or former member of the uniformed services who is
entitled to medical care under section 1074 or 1074a of this title and
is an individual described in subparagraph (B) of section 1079(a)(20)
of this title shall also be entitled to the items and services
described in subparagraph (A) of such section (subject to the same
limitations specified in such subparagraph), as part of such medical
care.''; and
(B) in section 1079(a), by adding at the end the
following new paragraph:
``(20)(A) Screening and diagnostic imaging (with no
limitation applied on frequency) for the detection of breast
cancer, including 2D or 3D mammograms, breast ultrasounds,
breast magnetic resonance imaging, or other technologies (as
determined in accordance with the most recent applicable
criteria or guidelines described in subparagraph (B)), shall be
provided if the patient is an individual described in
subparagraph (B).
``(B) An individual described in this subparagraph is--
``(i) an individual who is at increased risk of
breast cancer (as determined in accordance with the
most recent applicable American College of Radiology
Appropriateness Criteria or the most recent applicable
guidelines of the National Comprehensive Cancer
Network) or with heterogeneously or extremely dense
breast tissue (as defined by the Breast Imaging
Reporting and Data System established by the American
College of Radiology); or
``(ii) an individual who is not described in clause
(i) and who is determined by a health care provider (in
accordance with such most recent applicable criteria or
guidelines) to require screening or diagnostic breast
imaging by reason of factors including age, race,
ethnicity, or personal or family medical history.''.
(2) Elimination of cost-sharing.--Such title is further
amended--
(A) in section 1075a, by adding at the end the
following new subsection:
``(d) Elimination of Cost-Sharing for Certain Breast Cancer-Related
Items and Services.--Notwithstanding any other provision under this
section, cost-sharing may not be imposed or collected with respect to
any beneficiary enrolled in TRICARE Prime for any item or service
described in subparagraph (A) of section 1079(a)(20) of this title
provided under TRICARE Prime, in accordance with the limitations
specified in such subparagraph, if the beneficiary is an individual
described in subparagraph (B) of such section.'';
(B) in section 1075(c), by adding at the end the
following new paragraph:
``(4) Notwithstanding any other provision under this
section, cost-sharing may not be imposed or collected with
respect to any beneficiary enrolled in TRICARE Select for any
item or service described in subparagraph (A) of section
1079(a)(20) of this title provided under TRICARE Select, in
accordance with the limitations specified in such subparagraph,
if the beneficiary is an individual described in subparagraph
(B) of such section.''; and
(C) in section 1086(d)(3)--
(i) by redesignating subparagraph (C) as
subparagraph (D); and
(ii) by inserting after subparagraph (B)
the following new subparagraph:
``(C) Notwithstanding any other provision under this section, cost-
sharing may not be imposed or collected under subsection (a) with
respect to any individual described in subparagraph (B) of section
1079(a)(20) of this title for an item or service described in
subparagraph (A) of such section and provided in accordance with the
limitations specified in such subparagraph.''.
(3) Effective date.--The amendments made by this subsection
shall take effect on January 1, 2024.
(e) Coverage and Elimination of Cost-Sharing With Respect to
Veterans.--
(1) Coverage and elimination of cost-sharing.--Chapter 17
of title 38, United States Code, is amended by inserting after
section 1720J the following new section (and conforming the
table of sections at the beginning of such chapter
accordingly):
``Sec. 1720K. Breast screenings for certain individuals at increased
risk for breast cancer
``(a) Coverage of Items and Services.--
``(1) Coverage.--The Secretary shall furnish to a veteran
described in paragraph (2) screening and diagnostic imaging
(with no limitation applied on frequency) for the detection of
breast cancer, including 2D or 3D mammograms, breast
ultrasounds, breast magnetic resonance imaging, or other
technologies (as determined in accordance with the most recent
applicable criteria or guidelines described in such paragraph)
pursuant to this section.
``(2) Eligibility.--A veteran described in this
subparagraph is--
``(A) a veteran who is at increased risk of breast
cancer (as determined in accordance with the most
recent applicable American College of Radiology
Appropriateness Criteria or the most recent applicable
guidelines of the National Comprehensive Cancer
Network) or with heterogeneously or extremely dense
breast tissue (as defined by the Breast Imaging
Reporting and Data System established by the American
College of Radiology), without regard to whether the
veteran is enrolled in the system of annual patient
enrollment established under section 1705(a) of this
title; or
``(B) a veteran who is not described in
subparagraph (A) and who is determined by a health care
provider (in accordance with such most recent
applicable criteria or guidelines) to require screening
or diagnostic breast imaging by reason of factors
including age, race, ethnicity, or personal or family
medical history, without regard to whether the veteran
is enrolled in the system of annual patient enrollment
established under section 1705(a) of this title.
``(b) Prohibition on Cost-Sharing.--Notwithstanding subsections (f)
and (g) of section 1710 and section 1722A of this title, the Secretary
may not require any veteran described in paragraph (2) of subsection
(a) to make any copayment for, or charge the veteran for any other cost
of, the receipt of any item or service furnished pursuant to paragraph
(1) of such subsection.''.
(2) Effective date.--The amendments made by this subsection
shall take effect on January 1, 2024.
<all>
</pre></body></html>
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118HR3087 | Training and Nutrition Stability | [
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"E000297",
"Rep. Espaillat, Adriano [D-NY-13]",
"sponsor"
],
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"Rep. Miller, Max L. [R-OH-7]",
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"cosponsor"
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[
"M001221",
"Rep. Molinaro, Marcus J. [R-NY-19]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3087 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3087
To amend the Food and Nutrition Act of 2008 to exempt workforce
training dollars as income for supplemental nutrition assistance
program beneficiaries.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Espaillat (for himself, Mr. Miller of Ohio, Ms. Adams, and Mr.
Molinaro) introduced the following bill; which was referred to the
Committee on Agriculture
_______________________________________________________________________
A BILL
To amend the Food and Nutrition Act of 2008 to exempt workforce
training dollars as income for supplemental nutrition assistance
program beneficiaries.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Training and Nutrition Stability
Act''.
SEC. 2. AMENDMENT TO THE SUPPLEMENTAL NUTRITION ASSISTANCE PROGRAM.
Section 5 of the Food and Nutrition Act of 2008 (7 U.S.C. 2014) is
amended by striking subsection (l).
SEC. 3. EXCLUSION FOR INCOME FROM EMPLOYMENT AND TRAINING PROGRAM.
Section 5(d) of the Food and Nutrition Act of 2008 (7 U.S.C.
2014(d)) is amended--
(1) in paragraph (18) by striking ``and'' at the end,
(2) in paragraph (19) by striking the period at the end and
by inserting ``; and'', and
(3) by adding at the following the end the following:
``(20) Income a household member receives from allowances,
earning, and payments to household members participating in any
program defined in section 6(o)(1), any program established
under section 6(d)(4), any vocational rehabilitation program
established and defined under the Rehabilitation Act of 1973,
and any refugee employment program established and defined
under section 412(c) of the Immigration and Nationality Act.''.
<all>
</pre></body></html>
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118HR3088 | SEFIT Act | [
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"Rep. Fallon, Pat [R-TX-4]",
"sponsor"
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[
"H001082",
"Rep. Hern, Kevin [R-OK-1]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3088 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3088
To direct the Secretary of the Treasury to provide for a determination
on the activities on certain foreign financial institutions.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Fallon (for himself and Mr. Hern) introduced the following bill;
which was referred to the Committee on Foreign Affairs, and in addition
to the Committees on Financial Services, the Judiciary, Ways and Means,
and Oversight and Accountability, for a period to be subsequently
determined by the Speaker, in each case for consideration of such
provisions as fall within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To direct the Secretary of the Treasury to provide for a determination
on the activities on certain foreign financial institutions.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Sanctions Enforcement and Financial
Institutions Transparency Act'' or the ``SEFIT Act''.
SEC. 2. DETERMINATION ON CERTAIN FOREIGN FINANCIAL INSTITUTIONS.
(a) Determination.--
(1) In general.--Not later than 180 days after the date of
the enactment of the this Act, and every 180 days thereafter
for a period not to exceed 5 years, the Secretary of the
Treasury shall submit to the appropriate congressional
committees a determination on whether each foreign financial
institution described in subsection (b) engages in, or has
engaged in or attempted to engage in one or more activities
described in subsection (c) and provides a detailed description
of each such activity.
(2) Appropriate congressional committees defined.--In this
subsection, the term ``appropriate congressional committees''
means--
(A) the Committee on Foreign Affairs and the
Committee on Armed Services of the House of
Representatives; and
(B) the Committee on Foreign Relations and the
Committee on Armed Services of the Senate.
(b) Foreign Financial Institution Described.--
(1) In general.--A foreign financial institution described
in this subsection is a foreign financial institution that,
wherever located, is--
(A) organized under the laws of a state sponsor of
terrorism or any jurisdiction within a state sponsor of
terrorism;
(B) owned or controlled, directly or indirectly by
the government of a state sponsor of terrorism;
(C) located in the territory of a state sponsor of
terrorism; or
(D) owned or controlled by a foreign financial
institution described in subparagraph (A), (B), or (C);
and
(E) the capitalization of which exceeds
$10,000,000.
(2) State sponsor of terrorism defined.--In this
subsection, the term ``state sponsor of terrorism'' means a
country the government of which the Secretary of State has
determined is a government that has repeatedly provided support
for acts of international terrorism for purposes of--
(A) section 1754(c) of the Export Control Reform
Act of 2018;
(B) section 620A of the Foreign Assistance Act of
1961 (22 U.S.C. 2371);
(C) section 40 of the Arms Export Control Act (22
U.S.C. 2780); or
(D) any other provision of law.
(3) Foreign financial institution defined.--A foreign
financial institution in this subsection includes--
(A) the meaning given that term in section 1010.605
of title 31, Code of Federal Regulations; or
(B) a foreign central bank.
(c) Activities Described.--
(1) In general.--The activities described in this
subsection include any act that engages in, or has engaged in
or attempted to engage in conduct that would be sanctionable
under covered Executive Orders described in paragraph (2) or
covered provisions of law described in paragraph (3).
(2) Covered executive orders.--In this subsection, the term
``covered executive orders'' includes the following:
(A) Executive Order 14071 (Prohibiting New
Investment In And Certain Services To The Russian
Federation In Response To Continued Russian Federation
Aggression (April 6, 2022)).
(B) Executive Order 14068 (Prohibiting Certain
Imports, Exports, and New Investment with Respect to
Continued Russian Federation Aggression (March 11,
2022)).
(C) Executive Order 14066 (Prohibiting Certain
Imports And New Investments With Respect To Continued
Russian Federation Efforts To Undermine the Sovereignty
And Territorial Integrity Of Ukraine (March 8, 2022)).
(D) Executive Order 14039 (Blocking Property with
Respect to Certain Russian Energy Export Pipelines
(August 20, 2021)).
(E) Executive Order 14024 (Blocking Property With
Respect To Specified Harmful Foreign Activities Of The
Government Of The Russian Federation (April 15, 2021)).
(F) Executive Order 14065 (Blocking Property Of
Certain Persons And Prohibiting Certain Transactions
With Respect To Continued Russian Efforts To Undermine
The Sovereignty And Territorial Integrity Of Ukraine
(February 21, 2022)).
(G) Executive Order 13883 (Administration of
Proliferation Sanctions and Amendment of Executive
Order 12851 (August 3, 2019)).
(H) Executive Order 13849 (Authorizing the
Implementation of Certain Sanctions Set Forth in the
Countering America's Adversaries Through Sanctions Act
(September 20, 2018)).
(I) Executive Order 13685 (Blocking Property of
Certain Persons and Prohibiting Certain Transactions
with Respect to the Crimea Region of Ukraine (December
19, 2014)).
(J) Executive Order 13662 (Blocking Property of
Additional Persons Contributing to the Situation in
Ukraine (March 20, 2014)).
(K) Executive Order 13661 (Blocking Property of
Additional Persons Contributing to the Situation in
Ukraine (March 17, 2014)).
(L) Executive Order 13660 (Blocking Property of
Certain Persons Contributing to the Situation in
Ukraine (March 6, 2014)).
(M) Any directive issued pursuant to the Executive
orders described in subparagraphs (A) through (L).
(N) Any other Executive order or directive imposing
sanctions against the Russian Federation.
(3) Covered legislation defined.--In this subsection the
term ``covered legislation'' includes the following:
(A) The Countering America's Adversaries Through
Sanctions Act (22 U.S.C. 9401 et seq.).
(B) The Ukraine Freedom Support Act of 2014 (22
U.S.C. 8921 et seq.).
(C) The Support for the Sovereignty, Integrity,
Democracy, and Economic Stability of Ukraine Act of
2014 (22 U.S.C. 8901 et seq.).
(D) The Protecting Europe's Energy Security Act of
2019 (title LXXV of division F of Public Law 116-92).
(E) Any other law imposing sanctions against the
Russian Federation.
<all>
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118HR3089 | NDO Fairness Act | [
[
"F000471",
"Rep. Fitzgerald, Scott [R-WI-5]",
"sponsor"
],
[
"N000002",
"Rep. Nadler, Jerrold [D-NY-12]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3089 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3089
To amend title 18, United States Code, to modify delayed notice
requirements, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Fitzgerald (for himself and Mr. Nadler) introduced the following
bill; which was referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To amend title 18, United States Code, to modify delayed notice
requirements, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``NDO Fairness Act''.
SEC. 2. PRECLUSION OF NOTICE.
Section 2705(b) of title 18, United States Code, is amended to read
as follows:
``(b) Preclusion of Notice.--
``(1) Application.--
``(A) In general.--A governmental entity that is
seeking a warrant, order, or subpoena under section
2703, when it is not required to notify the customer or
subscriber, or to the extent that it may delay such
notice pursuant to subsection (a), may apply to a court
for an order, subject to paragraph (6), directing a
provider of electronic communications service or remote
computing service to which a warrant, order, or
subpoena under section 2703 is directed not to notify
any other person of the existence of the warrant,
order, or subpoena.
``(B) Length.--An order granted under subparagraph
(A) shall be in effect for a period of not more than 90
days.
``(C) Other requirements.--
``(i) In general.--A application for an
order under subparagraph (A) shall state, to
the best of the applicant's knowledge, whether
the named customer or subscriber whose
information is sought by the warrant, order, or
subpoena under section 2703--
``(I) is aware of the warrant,
order, subpoena, or underlying
investigation; and
``(II) is suspected of involvement
in the commission of the crime under
investigation.
``(ii) Orders.--An order granted under this
paragraph may not direct, or otherwise require,
a provider of electronic communications service
or remote computing service to provide
notification of the expiration of order to the
court or government entity that sought the
order.
``(2) Determination.--
``(A) In general.--The court may not grant a
request for an order made under paragraph (1), or an
extension of such order requested by the governmental
entity pursuant to paragraph (3), unless--
``(i) the court issues a written
determination, based on specific and
articulable facts, and including written
findings of fact and conclusions of law, that
it is likely that not granting the request will
result in--
``(I) endangering the life or
physical safety of an individual;
``(II) flight from prosecution;
``(III) destruction of or tampering
with evidence;
``(IV) intimidation of potential
witnesses; or
``(V) otherwise seriously
jeopardizing an investigation or unduly
delaying a trial; and
``(ii) the order is narrowly tailored and
there is no less restrictive alternative,
including notification to an individual or
organization within or providing legal
representation to the named customer or
subscriber, that is not likely to result in an
adverse result as described in clauses (i)
through (v) of subparagraph (A); and
``(iii) the court has reviewed the
individual warrant, order, or subpoena under
section 2703 to which the order issued under
this paragraph applies.
``(B) Nature of the offense.--The court may
consider the nature of the offense in issuing a
determination under subparagraph (A).
``(3) Extension.--A governmental entity may request one or
more extensions of an order granted under paragraph (2) of not
more than 90 days for each such extension. The court may only
grant such an extension if the court makes a written
determination required under paragraph (2)(A) and the extension
is in accordance with the requirements of (2)(B).
``(4) Notification of changed circumstances.--If the need
for the order issued under paragraph (2) changes materially,
the governmental entity that requested the order shall notify
the court within a reasonable period of time (not to exceed 14
days) of the changed circumstances, and the court shall
reassess the order and modify or vacate as appropriate.
``(5) Opportunity to be heard.--
``(A) In general.--Upon an application, petition,
or motion by a provider of electronic communications
service or remote computing service or person acting on
behalf of the provider to which an order under
paragraph (2) (or an extension under paragraph (3)) has
been issued, the court may modify or vacate the order
if--
``(i) the order does not meet requirements
provided in paragraph (2) or (3); or
``(ii) compliance with the order is
unreasonable or otherwise unlawful.
``(B) Stay of disclosure of named customer or
subscriber communications or records.--A provider's
obligation to disclose the information requested in the
warrant, order, or subpoena to which the order in
paragraph (1) applies is stayed upon the filing of the
application, petition, or motion under this paragraph
pending resolution of the application, petition, or
motion, unless the court with jurisdiction over the
challenge determines based on a showing by the
governmental entity that the stay should be lifted in
whole or in part prior to resolution.
``(C) Finality of order.--The decision of the
court resolving an application, petition, or motion
under this paragraph shall constitute a final,
appealable order.
``(6) Exception.--A provider of electronic communications
service or remote computing service to which an order under
paragraph (2) applies, or an officer, employee, or agent
thereof, may disclose information otherwise subject to any
applicable nondisclosure requirement to--
``(A) those persons to whom disclosure is necessary
in order to comply with the warrant, order, or
subpoena;
``(B) an attorney in order to obtain legal advice
or assistance regarding the order issued under
paragraph (2) or the warrant, order, or subpoena to
which the order applies; and
``(C) any person the court determines can be
notified of the warrant, order, or subpoena.
``(7) Scope of nondisclosure.--Any person to whom
disclosure is made under paragraph (6) (other than the
governmental entity) shall be subject to the nondisclosure
requirements applicable to the person to whom the order is
issued. Any recipient authorized under this subsection to
disclose to a person information otherwise subject to a
nondisclosure requirement shall notify the person of the
applicable nondisclosure requirement.
``(8) Supporting documentation.--Upon serving a provider of
electronic communications service or remote computing service
with an order granted under paragraph (2), or an extension of
such order granted under paragraph (3), the governmental entity
shall include a copy of the warrant, order, or subpoena to
which the nondisclosure order applies.
``(9) Expiration of order precluding notice.--Upon
expiration of an order issued under paragraph (2) or, if an
extension has been granted under paragraph (3), expiration of
the extension, the governmental entity shall deliver to the
named customer or subscriber, by at least 2 methods, which
shall be personal service, registered or first-class mail,
electronic mail, or other means approved by the court as
reasonably calculated to reach the named customer or subscriber
within 5 business days of the expiration of the order--
``(A) a copy of the warrant, order, or subpoena;
and
``(B) notice that informs the named customer or
subscriber--
``(i) of the nature of the law enforcement
inquiry with reasonable specificity;
``(ii) that information maintained for such
customer or subscriber by the provider of
electronic communications service or remote
computing service to which the warrant, order,
or subpoena under section 2703, was directed
was supplied to or requested by the government
entity;
``(iii) that notification of such customer
or subscriber was precluded by court order;
``(iv) of the identity of the court
authorizing the preclusion of notice;
``(v) of the provision of this chapter
under which the preclusion of notice was
authorized; and
``(vi) that the government will, upon
request by the customer or subscriber made
within 180 days after receiving notification
under this paragraph, provide the named
customer or subscriber with a copy of the
information that was disclosed in response to
the warrant, order or subpoena, or in the event
that no information was disclosed, a written
certification that no information was
disclosed.
``(10) Copy of information disclosed.--Upon expiration of
the order precluding notice issued under paragraph (2) or (3)
of this subsection, and at the request of the named customer or
subscriber made within 180 days of receiving notification under
paragraph (9), the governmental entity shall promptly provide
the named customer or subscriber--
``(A) with a copy of the information that was
disclosed in response to the warrant, order or subpoena
(except illicit records, child sexual abuse material,
and other illegal material); or
``(B) in the event that no information was
disclosed, a written certification that no information
was disclosed.
``(11) Redactions.--Any information disclosed pursuant to
paragraphs (9) and (10) may be redacted only if a court finds
such redactions necessary to preserve the secrecy or integrity
of an investigation.''.
SEC. 3. ADDITIONAL PROVISIONS REGARDING DELAYED NOTICE.
Section 2705 of title 18, United States Code, is amended by adding
at the end the following:
``(c) Annual Report.--On an annual basis, the Attorney General
shall provide to the Committee on the Judiciary of the House of
Representatives, the Committee on the Judiciary of the Senate, and the
Director of the Administrative Office of the United States Courts,
which the Director shall publish on the website of the Administrative
Office of the United States Courts, in a manner consistent with
protection of national security, a report setting forth with respect to
the preceding calendar year, for each Federal judicial district--
``(1) the number of named customers or subscribers with
respect to whom, in that calendar year, a warrant, subpoena, or
court order was issued pursuant to section 2703;
``(2) the aggregate number of applications requesting delay
of notification pursuant to subsection (a)(1), preclusion of
notice pursuant to subsection (b)(1), and extensions pursuant
to subsection (b)(3);
``(3) the aggregate number of orders under this section
either granting, extending, or denying a request for delay of
notification or preclusion of notice;
``(4) the aggregate number of orders under this section
affecting a member of the news media, including any conduct
related to activities protected under the First Amendment; and
``(5) the aggregate number of arrests, trials, and
convictions, resulting from investigations in which orders
under this section were obtained, including the offenses for
which individuals were arrested, tried, or convicted.
The Attorney General shall include in the report under this subsection
a description of the process and the information used to determine the
numbers for each of paragraphs (1) through (5).''.
<all>
</pre></body></html>
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118HR309 | Opportunity To Address College Hunger Act | [
[
"B001278",
"Rep. Bonamici, Suzanne [D-OR-1]",
"sponsor"
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... | <p><b>Opportunity To Address College Hunger Act</b></p> <p>This bill requires institutions of higher education (IHEs) that receive grants to operate work-study programs to notify a student receiving work-study assistance that the student may be eligible for participation in the Supplemental Nutrition Assistance Program (SNAP). The Department of Education must provide guidance to states and IHEs on how to identify and communicate with students who are potentially eligible for SNAP.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 309 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 309
To amend the Higher Education Act of 1965 to require institutions of
higher education to provide notice to students receiving work-study
assistance about potential eligibility for participation in the
supplemental nutrition assistance program, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 12, 2023
Ms. Bonamici (for herself, Mr. Takano, Ms. Jacobs, Mrs. Peltola, Ms.
Williams of Georgia, Mrs. Beatty, Ms. Pressley, Ms. Scanlon, Mr.
Carbajal, Mr. Blumenauer, Ms. Norton, Ms. Tokuda, Ms. Stansbury, Mr.
Evans, Mr. Pocan, Ms. Meng, Ms. Titus, Mr. Tonko, Mr. Smith of
Washington, Mr. Keating, Mr. DeSaulnier, Mr. Davis of Illinois, Mr.
Grijalva, Mr. Trone, Mr. Levin, Ms. Leger Fernandez, Ms. Barragan, and
Mrs. Hayes) introduced the following bill; which was referred to the
Committee on Education and the Workforce
_______________________________________________________________________
A BILL
To amend the Higher Education Act of 1965 to require institutions of
higher education to provide notice to students receiving work-study
assistance about potential eligibility for participation in the
supplemental nutrition assistance program, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Opportunity To Address College
Hunger Act''.
SEC. 2. NOTIFICATION REGARDING SNAP FOR STUDENTS RECEIVING FEDERAL
WORK-STUDY ASSISTANCE.
Section 443 of the Higher Education Act of 1965 (20 U.S.C. 1087-53)
is amended by adding at the end the following:
``(f) Notification Regarding SNAP.--
``(1) In general.--An institution receiving a grant under
this part shall send a notification (by email or other
electronic means) to each eligible student informing the
student of their potential eligibility for participation in
SNAP and the process for obtaining more information, confirming
eligibility, and accessing benefits under that program. The
notification shall be developed by the Secretary of Education
in consultation with the Secretary of Agriculture, and shall
include details on eligibility requirements for participation
in SNAP that a student must satisfy. The notification shall be,
to the extent practicable, specific to the student's State of
residence and shall provide contact information for the local
office where an application for SNAP may be made.
``(2) Evidence of participation in federally financed work-
study program.--The notification under paragraph (1) shall
include an official document confirming that the recipient is
an eligible student sufficient for purposes of demonstrating
that the exclusion from ineligibility for participation in SNAP
under section 6(e)(4) of the Food and Nutrition Act of 2008 (7
U.S.C. 2015(e)(4)) applies to the student.
``(3) Guidance.--The Secretary of Education, in
consultation with the Secretary of Agriculture, shall provide
guidance to States and institutions of higher education on how
to identify and communicate with students who are likely to be
eligible for SNAP, including those eligible for a State or
federally financed work-study program.
``(4) Definitions.--For purposes of this subsection:
``(A) The term `eligible student' means a student
receiving work-study assistance under this part.
``(B) The term `SNAP' means the supplemental
nutrition assistance program (as defined in section
3(t) of the Food and Nutrition Act of 2008 (7 U.S.C.
2012(t))).''.
<all>
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118HR3090 | PAST Act of 2023 | [
[
"F000466",
"Rep. Fitzpatrick, Brian K. [R-PA-1]",
"sponsor"
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[... | <p> <b>Prevent All Soring Tactics Act of 2023 or the PAST Act </b> <b><b>of 2023</b></b></p> <p>This bill addresses the practice of soring horses. The soring of horses includes various actions taken on horses' limbs to produce higher gaits that may cause pain, distress, inflammation, or lameness.</p> <p>Specifically, the bill expands soring regulation and enforcement at horse shows, exhibitions, sales, and auctions, including by establishing a new system for inspecting horses for soring. In addition, the bill increases penalties for violations.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3090 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3090
To amend the Horse Protection Act to designate additional unlawful acts
under the Act, strengthen penalties for violations of the Act, improve
Department of Agriculture enforcement of the Act, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Fitzpatrick (for himself, Mr. Cohen, Mr. Buchanan, Ms. Schakowsky,
Mr. Beyer, Mr. Schiff, Mr. Connolly, Mr. Sherman, Ms. Matsui, Mr.
Evans, Ms. Davids of Kansas, Mr. Peters, Ms. Wilson of Florida, Mr.
Lynch, Mr. Huffman, Mr. Gomez, Mrs. Napolitano, Mr. Tonko, Ms.
Wasserman Schultz, Mr. Cardenas, Mr. Ruppersberger, Mr. Quigley, Mrs.
Torres of California, Mr. Boyle of Pennsylvania, Mr. Foster, Ms.
Brownley, Mr. David Scott of Georgia, Mr. Stanton, Mr. Pocan, Ms.
Garcia of Texas, Ms. Houlahan, Ms. Meng, Mr. Sablan, Mr. Bishop of
Georgia, Mr. Castro of Texas, Ms. Kelly of Illinois, Mr. Allred, Mr.
Carbajal, Mr. Khanna, Mr. Panetta, Ms. Escobar, Ms. Jacobs, Mrs.
McBath, Ms. Sanchez, Mr. Morelle, Ms. Moore of Wisconsin, Ms. Stevens,
Mr. Nadler, Mr. Casten, Ms. Chu, Ms. Blunt Rochester, Mr. Swalwell, Mr.
Schneider, Mr. Gallego, Mr. Garcia of Illinois, Mr. Cartwright, Mr.
Moulton, Mr. Veasey, Ms. Porter, Mr. Raskin, Mr. Grijalva, Mr. Johnson
of Georgia, Mr. Doggett, Ms. Mace, Mr. Krishnamoorthi, Mr. Higgins of
New York, Mr. Kilmer, Ms. Castor of Florida, Mr. Trone, Mr. McHenry,
Ms. Pingree, Ms. Lee of California, Mr. Kildee, Mr. Reschenthaler, Mr.
Smucker, Mr. Meuser, Ms. McCollum, Mr. Smith of New Jersey, Ms. Ross,
Mr. Himes, Mr. Auchincloss, Mr. Mfume, Mrs. Trahan, Mr. Espaillat, Mr.
Payne, Mr. Smith of Washington, Mr. Crow, Mr. Pappas, Ms. DeLauro, Mr.
Takano, Ms. Scholten, Ms. Strickland, Mr. Neguse, Ms. Sherrill, Mr.
Sarbanes, Mr. Meeks, Mr. Cicilline, Mr. Blumenauer, Ms. Williams of
Georgia, Ms. Craig, Ms. Barragan, Ms. Kaptur, Mr. Soto, Ms. Slotkin,
Mr. Courtney, Ms. Tokuda, Mr. Vargas, Mr. DeSaulnier, Mr. Thompson of
California, Mr. Waltz, Ms. Velazquez, Ms. Titus, Mrs. Watson Coleman,
Mr. McGarvey, Mr. McGovern, Mr. Kim of New Jersey, Ms. Pressley, Ms.
Dean of Pennsylvania, Mr. Norcross, Ms. Norton, Mrs. Beatty, Mr. Posey,
Ms. Underwood, Mr. Davis of Illinois, Ms. Salazar, Mr. Carey, Ms. Lois
Frankel of Florida, Ms. Wild, Mr. Mullin, Mrs. Lee of Nevada, Mr.
Torres of New York, Mr. Hudson, Mr. Bera, Mr. Keating, Ms. Jackson Lee,
Mr. Larson of Connecticut, Mr. Gottheimer, Mr. Wittman, Mrs. Fletcher,
Mr. Magaziner, Mr. Neal, Mr. Deluzio, Mr. Carter of Louisiana, Mrs. Kim
of California, Ms. Malliotakis, Ms. Jayapal, Mr. Gooden of Texas, Mr.
Fulcher, Mr. Van Drew, Mr. Landsman, Mr. Carson, Ms. Lee of Florida,
Ms. Brown, Mr. Ruiz, Mr. Kelly of Pennsylvania, Mr. Larsen of
Washington, Ms. Tenney, Ms. Plaskett, Mr. Schweikert, Mr. Scott of
Virginia, Mr. Aguilar, Mr. Lieu, Ms. Tlaib, Mr. Pascrell, Mr. Buck, Mr.
Thanedar, Mrs. McClain, Mr. Thompson of Mississippi, Mr. Sorensen, Mrs.
Dingell, Ms. Kuster, Mr. Joyce of Ohio, Mr. Lawler, Ms. Eshoo, Mr.
Cuellar, Ms. Crockett, Mr. Moskowitz, Mrs. Foushee, Mr. Robert Garcia
of California, Mr. Ciscomani, Mr. Calvert, Mr. Case, Ms. DelBene, Ms.
Bonamici, and Ms. Scanlon) introduced the following bill; which was
referred to the Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To amend the Horse Protection Act to designate additional unlawful acts
under the Act, strengthen penalties for violations of the Act, improve
Department of Agriculture enforcement of the Act, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Prevent All Soring Tactics Act of
2023'' or the ``PAST Act of 2023''.
SEC. 2. INCREASED ENFORCEMENT UNDER HORSE PROTECTION ACT.
(a) Definitions.--Section 2 of the Horse Protection Act (15 U.S.C.
1821) is amended--
(1) by redesignating paragraphs (1), (2), (3), and (4) as
paragraphs (2), (3), (4), and (5), respectively;
(2) by inserting before paragraph (2) (as so redesignated)
the following new paragraph:
``(1)(A) The term `action device' means any boot, collar,
chain, roller, or other device that encircles or is placed upon
the lower extremity of the leg of a horse in such a manner that
it can--
``(i) rotate around the leg or slide up and down
the leg, so as to cause friction; or
``(ii) strike the hoof, coronet band, fetlock
joint, or pastern of the horse.
``(B) Such term does not include soft rubber or soft
leather bell boots or quarter boots that are used as protective
devices.''; and
(3) by adding at the end the following new paragraph:
``(6)(A) The term `participate' means engaging in any
activity with respect to a horse show, horse exhibition, or
horse sale or auction, including--
``(i) transporting or arranging for the
transportation of a horse to or from a horse show,
horse exhibition, or horse sale or auction;
``(ii) personally giving instructions to an
exhibitor; or
``(iii) being knowingly present in a warm-up area,
inspection area, or other area at a horse show, horse
exhibition, or horse sale or auction that spectators
are not permitted to enter.
``(B) Such term does not include spectating.''.
(b) Findings.--Section 3 of the Horse Protection Act (15 U.S.C.
1822) is amended--
(1) in paragraph (3)--
(A) by inserting ``and soring horses for such
purposes'' after ``horses in intrastate commerce''; and
(B) by inserting ``in many ways, including by
creating unfair competition, by deceiving the
spectating public and horse buyers, and by negatively
impacting horse sales'' before the semicolon;
(2) in paragraph (4), by striking ``and'' at the end;
(3) in paragraph (5), by striking the period at the end and
inserting a semicolon; and
(4) by adding at the end the following new paragraphs:
``(6) the Inspector General of the Department of
Agriculture has determined that the program through which the
Secretary inspects horses is inadequate for preventing soring;
``(7) historically, Tennessee Walking Horses, Racking
Horses, and Spotted Saddle Horses have been subjected to
soring; and
``(8) despite regulations in effect related to inspection
for purposes of ensuring that horses are not sore, violations
of this Act continue to be prevalent in the Tennessee Walking
Horse, Racking Horse, and Spotted Saddle Horse breeds.''.
(c) Horse Shows and Exhibitions.--Section 4 of the Horse Protection
Act (15 U.S.C. 1823) is amended--
(1) in subsection (a)--
(A) by striking ``appointed'' and inserting
``licensed''; and
(B) by adding at the end the following new
sentences: ``In the first instance in which the
Secretary determines that a horse is sore, the
Secretary shall disqualify the horse from being shown
or exhibited for a period of not less than 180 days. In
the second instance in which the Secretary determines
that such horse is sore, the Secretary shall disqualify
the horse for a period of not less than 1 year. In the
third instance in which the Secretary determines that
such horse is sore, the Secretary shall disqualify the
horse for a period of not less than 3 years.'';
(2) in subsection (b) by striking ``appointed'' and
inserting ``licensed'';
(3) by striking subsection (c) and inserting the following
new subsection:
``(c)(1)(A) The Secretary shall prescribe by regulation
requirements for the Department of Agriculture to license, train,
assign, and oversee persons qualified to detect and diagnose a horse
which is sore or to otherwise inspect horses at horse shows, horse
exhibitions, or horse sales or auctions, for hire by the management of
such events, for the purposes of enforcing this Act.
``(B) No person shall be issued a license under this subsection
unless such person is free from conflicts of interest, as defined by
the Secretary in the regulations issued under subparagraph (A).
``(C) If the Secretary determines that the performance of a person
licensed in accordance with subparagraph (A) is unsatisfactory, the
Secretary may, after notice and an opportunity for a hearing, revoke
the license issued to such person.
``(D) In issuing licenses under this subsection, the Secretary
shall give a preference to persons who are licensed or accredited
veterinarians.
``(E) Licensure of a person in accordance with the requirements
prescribed under this subsection shall not be construed as authorizing
such person to conduct inspections in a manner other than that
prescribed for inspections by the Secretary (or the Secretary's
representative) under subsection (e).
``(2)(A) Not later than 30 days before the date on which a horse
show, horse exhibition, or horse sale or auction begins, the management
of such show, exhibition, or sale or auction may notify the Secretary
of the intent of the management to hire a person or persons licensed
under this subsection and assigned by the Secretary to conduct
inspections at such show, exhibition, or sale or auction.
``(B) After such notification, the Secretary shall assign a person
or persons licensed under this subsection to conduct inspections at the
horse show, horse exhibition, or horse sale or auction.
``(3) A person licensed by the Secretary to conduct inspections
under this subsection shall issue a citation with respect to any
violation of this Act recorded during an inspection and notify the
Secretary of each such violation not later than 5 days after the date
on which a citation was issued with respect to such violation.''; and
(4) by adding at the end the following new subsection:
``(f) The Secretary shall publish on the public website of the
Animal and Plant Health Inspection Service of the Department of
Agriculture, and update as frequently as the Secretary determines is
necessary, information on violations of this Act for the purposes of
allowing the management of a horse show, horse exhibition, or horse
sale or auction to determine if an individual is in violation of this
Act.''.
(d) Unlawful Acts.--Section 5 of the Horse Protection Act (15
U.S.C. 1824) is amended--
(1) in paragraph (2)--
(A) by striking ``or (C) respecting'' and inserting
``(C), or (D) respecting''; and
(B) by striking ``and (D)'' and inserting ``(D)
causing a horse to become sore or directing another
person to cause a horse to become sore for the purpose
of showing, exhibiting, selling, auctioning, or
offering for sale the horse in any horse show, horse
exhibition, or horse sale or auction, and (E)'';
(2) in paragraph (3), by striking ``appoint'' and inserting
``hire'';
(3) in paragraph (4)--
(A) by striking ``appoint'' and inserting ``hire'';
and
(B) by striking ``qualified'';
(4) in paragraph (5), by striking ``appointed'' and
inserting ``hired'';
(5) in paragraph (6)--
(A) by striking ``appointed'' and inserting
``hired''; and
(B) by inserting ``that the horse is sore'' after
``the Secretary''; and
(6) by adding at the end the following new paragraphs:
``(12) The use of an action device on any limb of a
Tennessee Walking Horse, a Racking Horse, or a Spotted Saddle
Horse at a horse show, horse exhibition, or horse sale or
auction.
``(13) The use of a weighted shoe, pad, wedge, hoof band,
or other device or material at a horse show, horse exhibition,
or horse sale or auction that--
``(A) is placed on, inserted in, or attached to any
limb of a Tennessee Walking Horse, a Racking Horse, or
a Spotted Saddle Horse;
``(B) is constructed to artificially alter the gait
of such a horse; and
``(C) is not strictly protective or therapeutic in
nature.''.
(e) Violations and Penalties.--Section 6 of the Horse Protection
Act (15 U.S.C. 1825) is amended--
(1) in subsection (a)--
(A) in paragraph (1)--
(i) by striking ``Except as provided in
paragraph (2) of this subsection, any person
who knowingly violates section 5'' and
inserting ``Any person who knowingly violates
section 5 or the regulations issued under such
section, including any violation recorded
during an inspection conducted in accordance
with section 4(c) or 4(e)''; and
(ii) by striking ``more than $3,000, or
imprisoned for not more than one year, or
both.'' and inserting ``more than $5,000, or
imprisoned for not more than 3 years, or both,
for each such violation.'';
(B) in paragraph (2)--
(i) by striking subparagraph (A);
(ii) by striking ``(2)''; and
(iii) by redesignating subparagraphs (B)
and (C) as paragraphs (2) and (3),
respectively, and moving the margins of such
paragraphs (as so redesignated) two ems to the
left; and
(C) by adding at the end the following new
paragraph:
``(4) Any person who knowingly fails to obey an order of
disqualification shall, upon conviction thereof, be fined not more than
$5,000 for each failure to obey such an order, imprisoned for not more
than 3 years, or both.'';
(2) in subsection (b)--
(A) in paragraph (1)--
(i) by striking ``section 5 of this Act''
and inserting ``section 5 or the regulations
issued under such section''; and
(ii) by striking ``$2,000'' and inserting
``$4,000''; and
(B) by adding at the end the following new
paragraph:
``(5) Any person who fails to pay a licensed inspector hired under
section 4(c) shall, upon conviction thereof, be fined not more than
$4,000 for each such violation.''; and
(3) in subsection (c)--
(A) in the first sentence--
(i) by inserting ``, or otherwise
participating in any horse show, horse
exhibition, or horse sale or auction'' before
``for a period of not less than one year''; and
(ii) by striking ``any subsequent'' and
inserting ``the second'';
(B) by inserting before ``Any person who knowingly
fails'' the following: ``For the third or any
subsequent violation, a person may be permanently
disqualified by order of the Secretary, after notice
and an opportunity for a hearing before the Secretary,
from showing or exhibiting any horse, judging or
managing any horse show, horse exhibition, or horse
sale or auction, or otherwise participating in,
including financing the participation of other
individuals in, any horse show, horse exhibition, or
horse sale or auction (regardless of whether walking
horses are shown, exhibited, sold, auctioned, or
offered for sale at the horse show, horse exhibition,
or horse sale or auction).''; and
(C) by striking ``$3,000'' each place it appears
and inserting ``$5,000''.
(f) Regulations.--Not later than 180 days after the date of the
enactment of this Act, the Secretary of Agriculture shall issue
regulations to carry out the amendments made by this section, including
regulations prescribing the requirements under subsection (c) of
section 4 of the Horse Protection Act (15 U.S.C. 1823(c)), as amended
by subsection (c)(3).
(g) Severability.--If any provision of this Act or any amendment
made by this Act, or the application of a provision to any person or
circumstance, is held to be unconstitutional, the remainder of this Act
and the amendments made by this Act, and the application of the
provisions to any person or circumstance, shall not be affected by the
holding.
<all>
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118HR3091 | Federal Law Enforcement Officer Service Weapon Purchase Act | [
[
"F000478",
"Rep. Fry, Russell [R-SC-7]",
"sponsor"
],
[
"S000250",
"Rep. Sessions, Pete [R-TX-17]",
"cosponsor"
],
[
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[
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... | <p><strong>Federal Law Enforcement Officer Service Weapon Purchase Act</strong></p> <p>This bill directs the General Services Administration to establish a program under which a federal law enforcement officer may purchase a retired firearm from the agency that issued the firearm to the officer.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3091 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3091
To allow Federal law enforcement officers to purchase retired service
weapons, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Fry (for himself, Mr. Sessions, and Mr. Biggs) introduced the
following bill; which was referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To allow Federal law enforcement officers to purchase retired service
weapons, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Federal Law Enforcement Officer
Service Weapon Purchase Act''.
SEC. 2. PURCHASE OF RETIRED HANDGUNS BY FEDERAL LAW ENFORCEMENT
OFFICERS.
(a) In General.--Not later than 1 year after the date of enactment
of this Act, the Administrator of General Services shall establish a
program under which a Federal law enforcement officer may purchase a
retired handgun from the Federal agency that issued the handgun to such
officer.
(b) Limitations.--A Federal law enforcement officer may purchase a
retired handgun under subsection (a) if--
(1) the purchase is made during the 6-month period
beginning on the date the handgun was so retired; and
(2) with respect to such purchase, the officer is in good
standing with the Federal agency that employs such officer.
(c) Cost.--A handgun purchased under this section shall be sold at
the fair market value for such handgun taking into account the age and
condition of the handgun.
(d) Definitions.--In this section--
(1) the term ``Federal law enforcement officer'' has the
meaning given that term in section 115(c)(1) of title 18,
United States Code;
(2) the term ``handgun'' has the meaning given that term in
section 921(a) of title 18, United States Code; and
(3) the term ``retired handgun'' means any handgun that has
been declared surplus by the applicable agency.
<all>
</pre></body></html>
| [
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"description": "As ordered reported by the House Committee on the Judiciary on May 10, 2023\n",
"pubDate": "2023-05-15T20:33:00Z",
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"constitutionalAuthorityStatementText": "<pre>\n[Congressional Record Volume 169, Number 77 (Friday, May 5, 2023)]\n[House]\nFrom the Congressional Record Online through the Government Publishing Office [<a href=\"https://www.gpo.gov\">www.gpo.gov</a>]\nBy Mr. FRY:\nH.R. 3091.\nCongress has the power to enact this legislation pursuant\nto the following:\nArticle I, Section 8 of the United States Constitution\nThe single subject of this legislation is:\nSecond Amendment\n[Page H2137]\n</pre>",
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118HR3092 | Transit to Trails Act | [
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[... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3092 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3092
To establish a program to award grants to entities that provide
transportation connectors from critically underserved communities to
green spaces, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Gomez (for himself, Ms. Barragan, Mr. Blumenauer, Ms. Bonamici, Ms.
Brown, Mr. Carbajal, Mr. Cardenas, Mr. Carson, Mr. Casten, Ms. Chu, Mr.
Cohen, Mr. Davis of Illinois, Mr. DeSaulnier, Mr. Espaillat, Mr. Garcia
of Illinois, Mr. Grijalva, Mr. Huffman, Ms. Jacobs, Ms. Lee of
California, Mr. Levin, Mr. Morelle, Mr. Nadler, Mrs. Napolitano, Ms.
Norton, Ms. Porter, Ms. Sanchez, Mr. Sarbanes, Ms. Schakowsky, Mr.
Schiff, Mr. David Scott of Georgia, Mr. Smith of Washington, Mr.
Thompson of California, Ms. Titus, Ms. Velazquez, Ms. Williams of
Georgia, and Mr. Panetta) introduced the following bill; which was
referred to the Committee on Transportation and Infrastructure
_______________________________________________________________________
A BILL
To establish a program to award grants to entities that provide
transportation connectors from critically underserved communities to
green spaces, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Transit to Trails Act''.
SEC. 2. TRANSIT TO TRAILS GRANT PROGRAM.
(a) Definitions.--In this section:
(1) Community of color.--The term ``community of color''
means a geographically distinct area in which the population of
any of the following categories of individuals is higher than
the average populations of such category for the State in which
the community is located:
(A) Black.
(B) African American.
(C) Asian.
(D) Pacific Islander.
(E) Other non-White race.
(F) Hispanic.
(G) Latino.
(H) Linguistically isolated.
(I) Middle Eastern and North African.
(2) Critically underserved community.--The term
``critically underserved community'' means--
(A) a community that can demonstrate to the
Secretary that the community has inadequate,
insufficient, or no park space or recreation
facilities, including by demonstrating--
(i) quality concerns relating to the
available park space or recreation facilities;
(ii) the presence of recreational
facilities that do not serve the needs of the
community; or
(iii) the inequitable distribution of park
space for high-need populations based on
income, age, or other measures of vulnerability
and need;
(B) a community in which at least 50 percent of the
population is not located within \1/2\ mile of park
space;
(C) an environmental justice community; or
(D) any other community that the Secretary
determines to be appropriate.
(3) Designated service area.--The term ``designated service
area'' means a geographical area recommended by a designated
official planning agency that defines the community in which
coordinated transportation services are provided to the
transportation disadvantaged.
(4) Eligible entity.--The term ``eligible entity'' means--
(A) a State;
(B) a political subdivision of a State (including a
city or a county) that represents or otherwise serves
an urban area or a rural area;
(C) a special purpose district (including a park
district);
(D) an Indian Tribe (as defined in section 4 of the
Indian Self-Determination and Education Assistance Act
(25 U.S.C. 5304)) that represents or otherwise serves
an urban area or a rural area; or
(E) a metropolitan planning organization (as
defined in section 134(b) of title 23, United States
Code).
(5) Environmental justice community.--The term
``environmental justice community'' means a community with
significant representation of communities of color, low-income
communities, or Tribal or indigenous communities that
experiences, or is at risk of experiencing, a disproportionate
burden of adverse human health or environmental effects.
(6) Low-income community.--The term ``low-income
community'' means any census block group in which 30 percent or
more of the population are individuals with an annual household
income equal to, or less than, the greater of--
(A) an amount equal to 80 percent of the median
income of the area in which the household is located,
as reported by the Department of Housing and Urban
Development; or
(B) 200 percent of the Federal poverty line.
(7) Program.--The term ``program'' means the Transit to
Trails Grant Program established under subsection (b)(1).
(8) Rural area.--The term ``rural area'' means a community
that is not an urban area.
(9) Secretary.--The term ``Secretary'' means the Secretary
of Transportation.
(10) Transportation connector.--
(A) In general.--The term ``transportation
connector'' means a system that--
(i) connects 2 ZIP Codes or communities
within a 175-mile radius of a designated
service area; and
(ii) offers rides available to the public.
(B) Inclusions.--The term ``transportation
connector'' includes microtransits, bus lines, bus
rails, light rail, rapid transits, or personal rapid
transits.
(11) Urban area.--The term ``urban area'' means a community
that--
(A) is densely developed;
(B) has residential, commercial, and other
nonresidential areas; and
(C) is--
(i) an urbanized area with a population of
50,000 or more; or
(ii) an urban cluster with a population
of--
(I) not less than 2,500; and
(II) not more than 50,000.
(b) Grant Program.--
(1) Establishment.--The Secretary shall establish a grant
program, to be known as the ``Transit to Trails Grant
Program'', under which the Secretary shall award grants to
eligible entities for--
(A) projects that develop transportation connectors
or routes in or serving, and related culturally and
linguistically appropriate education materials for,
critically underserved communities to increase access
and mobility to Federal or non-Federal public land,
waters, parkland, or monuments; or
(B) projects that facilitate transportation
improvements to enhance access to Federal or non-
Federal public land and recreational opportunities in
critically underserved communities.
(2) Administration.--
(A) In general.--The Secretary shall administer the
program to assist eligible entities in the development
of transportation connectors or routes in or serving,
and related culturally and linguistically appropriate
education materials for, critically underserved
communities and Federal or non-Federal public land,
waters, parkland, and monuments.
(B) Joint partnerships.--The Secretary shall
encourage joint partnership projects under the program,
if available, among multiple agencies, including school
districts, nonprofit organizations, metropolitan
planning organizations, regional transportation
authorities, transit agencies, and State and local
governmental agencies (including park and recreation
agencies and authorities) to enhance investment of
public sources.
(C) Annual grant project proposal solicitation,
review, and approval.--
(i) In general.--The Secretary shall--
(I) annually solicit the submission
of project proposals for grants from
eligible entities under the program;
and
(II) review each project proposal
submitted under subclause (I) on a
timeline established by the Secretary.
(ii) Required elements for project
proposal.--A project proposal submitted under
clause (i)(I) shall include--
(I) a statement of the purposes of
the project;
(II) the name of the entity or
individual with overall responsibility
for the project;
(III) a description of the
qualifications of the entity or
individuals identified under subclause
(II);
(IV) a description of--
(aa) staffing and
stakeholder engagement for the
project;
(bb) the logistics of the
project; and
(cc) anticipated outcomes
of the project;
(V) a proposed budget for the funds
and time required to complete the
project;
(VI) information regarding the
source and amount of matching funding
available for the project;
(VII) information that demonstrates
the clear potential of the project to
contribute to increased access to
parkland for critically underserved
communities; and
(VIII) any other information that
the Secretary considers to be necessary
for evaluating the eligibility of the
project for funding under the program.
(D) Priority.--To the extent practicable, in
determining whether to approve project proposals under
the program, the Secretary shall prioritize projects
that--
(i) are designed to increase access and
mobility to local or neighborhood Federal or
non-Federal public land, waters, parkland,
monuments, or recreational opportunities;
(ii) utilize low- or no-emission vehicles;
(iii) provide free or discounted rates for
low-income riders;
(iv) provide opportunities for youth
engagement;
(v) provide employment preference to
individuals who reside in the community where
the project is granted;
(vi) are established in communities of
color, low-income communities, Tribal or
indigenous communities, or rural areas;
(vii) would capitalize on existing
established public-private partnerships; and
(viii) comply with relevant regulations
issued under the Americans with Disabilities
Act of 1990 (42 U.S.C. 12101 et seq.).
(3) Transportation planning procedures.--
(A) Procedures.--In consultation with the head of
each appropriate Federal land management agency, the
Secretary shall develop, by rule, transportation
planning procedures for projects conducted under the
program that are consistent with metropolitan and
statewide planning processes.
(B) Requirements.--In carrying out the program, the
Secretary shall ensure the following:
(i) All projects carried out under the
program shall comply with sections 5303 and
5304 of title 49, United States Code.
(ii) All new transportation connectors and
routes established under a project carried out
under the program shall be accessible in
accordance with the accessibility
specifications for transportation vehicles
under the Americans with Disabilities Act of
1990 (42 U.S.C. 12101 et seq.).
(iii) State department of transportation
agencies shall engage with relevant
stakeholders consistent with sections
5304(f)(3) and 5404(g)(3) of title 49, United
States Code, and metropolitan planning
organizations shall engage with relevant
stakeholders consistent with sections
5303(g)(3)(B), 5303(i)(5), and 5303(i)(6) of
title 49, United States Code, in addition to
faith-based and community-based organizations.
(iv) Except as otherwise provided under
this section, a grant provided under this
section shall be subject to the requirements of
section 5307 of title 49, United States Code.
(4) Federal share.--
(A) In general.--The Federal share of the cost of a
project carried out under the program shall not exceed
80 percent.
(B) Non-federal share.--The non-Federal share of
the cost of a project carried out under the program may
be derived from in-kind contributions.
(5) Eligible uses.--Grant funds provided under the program
may be used--
(A) to develop transportation connectors or routes
in or serving, and related culturally and
linguistically appropriate education materials for,
critically underserved communities to increase access
and mobility to Federal and non-Federal public land,
waters, parkland, and monuments; and
(B) to create or significantly enhance access to
Federal or non-Federal public land and recreational
opportunities in an urban area or a rural area.
(6) Grant amount.--A grant provided under the program shall
be--
(A) not less than $25,000; and
(B) not more than $500,000.
(7) Technical assistance.--It is the intent of Congress
that grants provided under the program deliver project funds to
areas of greatest need while offering technical assistance to
all applicants and potential applicants for grant preparation
to encourage full participation in the program.
(8) Public information.--The Secretary shall ensure that
current schedules and routes for transportation systems
developed after the receipt of a grant under the program are
available to the public, including on a website maintained by
the recipient of a grant.
(c) Reporting Requirement.--
(1) Reports by grant recipients.--The Secretary shall
require a recipient of a grant under the program to submit to
the Secretary at least 1 performance and financial report
that--
(A) includes--
(i) demographic data on communities served
by the project; and
(ii) a summary of project activities
conducted after receiving the grant; and
(B) describes the status of each project funded by
the grant as of the date of the report.
(2) Additional reports.--In addition to the report required
under paragraph (1), the Secretary may require additional
reports from a recipient, as the Secretary determines to be
appropriate, including a final report.
(3) Deadlines.--The Secretary shall establish deadlines for
the submission of each report required under paragraph (1) or
(2).
(d) Authorization of Appropriations.--There is authorized to be
appropriated to carry out this section $10,000,000 for the first and
second fiscal years that begin after the date of enactment of this Act,
$20,000,000 for the third and fourth fiscal year beginning after such
date, and $40,000,000 for the fifth fiscal year beginning after such
date.
<all>
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"G000586... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3093 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3093
To require persons who undertake federally funded research and
development of a biomedical product or service to enter into reasonable
pricing agreements with the Secretary of Health and Human Services, and
for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. Hoyle of Oregon (for herself, Mr. Doggett, Mr. Cohen, Ms. DeLauro,
Mr. Garcia of Illinois, Mr. Grijalva, Ms. Jayapal, Ms. Kaptur, Mr.
Khanna, Ms. Norton, Ms. Pingree, Mr. Pocan, Ms. Schakowsky, Ms.
Stansbury, and Ms. Tokuda) introduced the following bill; which was
referred to the Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To require persons who undertake federally funded research and
development of a biomedical product or service to enter into reasonable
pricing agreements with the Secretary of Health and Human Services, and
for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Affordable Pricing for Taxpayer-
Funded Prescription Drugs Act of 2023''.
SEC. 2. REASONABLE PRICE AGREEMENT.
(a) In General.--All Federal agencies providing or receiving
research funding, through a grant, contract, cooperative agreement, or
other agreement, shall require in such agreement, and in any license of
the rights to a patent or regulatory test data for a biomedical product
or service, that the price of any biomedical product or service
developed with the benefit of such research be reasonable (as
determined by the Secretary) unless the Secretary waives such
reasonable price obligation under subsection (d).
(b) Prohibition Against Charging Prices Higher Than in Other Large
Economies With High Incomes.--
(1) In general.--For purposes of subsection (a), any
reasonable pricing formula shall ensure, without prejudice to
any other standards or negotiated provisions for reasonable
pricing, that residents of the United States are not charged
more for the biomedical product or service involved than the
reference price for countries with large economies and high
incomes.
(2) Reference price.--For purposes of paragraph (1), the
phrase ``reference price for countries with large economies and
high incomes'' means--
(A) the median price charged for the biomedical
product or service involved in Canada and the
additional six reference countries; or
(B) a modification to such price that is adopted by
regulation after providing notice and the opportunity
for the public to comment, if the Secretary determines
such modification to be an appropriate and reasonable
measure to protect United States residents from paying
prices that are higher than prices in other countries
with large economies and high incomes.
(c) Additional Requirements.--
(1) In general.--In carrying out subsection (a), the
Secretary may promulgate by regulation additional requirements
to ensure that the price for the biomedical product or service
described in subsection (a) be reasonable.
(2) Requirements.--The additional requirements under
paragraph (1) shall--
(A) address the public interest in ensuring that
publicly supported innovations for biomedical products
and services have reasonable prices; and
(B) take into account--
(i) the importance of providing robust
incentives to invest in biomedical research and
development; and
(ii) the challenges of administering
agreements described in subsection (a),
including in cases where third parties control
relevant intellectual property, know-how, or
other assets.
(3) Possible mechanisms.--The additional requirements for
reasonable pricing authorized by paragraph (1) may include--
(A) mechanisms to--
(i) lower prices or shorten exclusivity
periods when revenues exceed targets;
(ii) lower prices that exceed a standard of
cost per health benefit achieved; or
(iii) lower prices that constitute
significant barriers to access or fiscal
burdens on patients; or
(B) a combination of mechanisms listed in
subparagraph (A) or other mechanisms.
(d) Waiver.--
(1) In general.--The Secretary may waive part or all of a
reasonable pricing obligation under this section upon a
demonstration that such a waiver is in the public interest. A
decision to grant such a waiver shall set out the Secretary's
finding that the waiver is in the public interest.
(2) Required process.--No waiver under paragraph (1) shall
take effect before--
(A) the public is given notice of the proposed
waiver and provided a reasonable opportunity to comment
in writing and at a public hearing on the proposed
waiver; and
(B) the Secretary publishes an economic analysis to
justify the waiver.
(e) Transparency.--
(1) Reporting.--In order to evaluate additional
requirements promulgated under subsection (c), agreements
subject to subsection (a) shall include a requirement that the
manufacturer or other companies commercializing the biomedical
product or service involved report to the Secretary in formats
determined by the Secretary--
(A) the costs of each clinical trial undertaken to
support the Federal regulatory approval of the
biomedical product or service involved;
(B) subsidies of those costs by the Federal
Government; and
(C) the annual revenues generated by the biomedical
product or service involved, by county of sale.
(2) Public availability.--The Secretary shall make all
reports under paragraph (1) publicly available.
(f) No Effect on Other Requirements.--The reasonable pricing
requirements imposed under this section are in addition to any other
requirements to limit the price of biomedical products or services,
including such requirements imposed--
(1) through standards or negotiated provisions on pricing
in contracts; or
(2) under chapter 18 of title 35, United States Code, to
make the benefits of inventions funded by the Federal
Government available to the public on reasonable terms.
(g) Definitions.--In this section:
(1) The term ``biomedical product or service'' means a
drug, vaccine, medical device, diagnostic test, assistive
technology, cell- or gene-based therapy, or other technology
used to provide health care.
(2) The term ``medical device'' has the meaning given to
the term ``device'' in section 201 of the Federal Food, Drug,
and Cosmetic Act (21 U.S.C. 321).
(3) The term ``Secretary'' means the Secretary of Health
and Human Services.
(4) The term ``six reference countries'' means the six
countries, excluding Canada, that over the previous three
calendar years--
(A) are member countries of the Organisation for
Economic Co-operation and Development;
(B) have the largest gross domestic products; and
(C) have a per capita income that is at least 50
percent of the average per capita income of the United
States.
<all>
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118HR3094 | To terminate the requirement imposed by the Secretary of Homeland Security for proof of COVID-19 vaccination for foreign travelers, and for other purposes. | [
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"C0... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3094 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3094
To terminate the requirement imposed by the Secretary of Homeland
Security for proof of COVID-19 vaccination for foreign travelers, and
for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Huizenga (for himself, Ms. Stefanik, Mr. Higgins of New York, Mr.
Pappas, Mr. Crawford, and Mr. Green of Tennessee) introduced the
following bill; which was referred to the Committee on Homeland
Security
_______________________________________________________________________
A BILL
To terminate the requirement imposed by the Secretary of Homeland
Security for proof of COVID-19 vaccination for foreign travelers, and
for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. TERMINATING DHS REQUIREMENT FOR PROOF OF COVID-19
VACCINATION FOR FOREIGN TRAVELERS.
(a) In General.--Beginning on the date of the enactment of this
Act, a travel vaccination requirement for foreign travelers referred to
in subsection (c) shall have no force or effect, unless otherwise
specified in a provision of law enacted after the date of the enactment
of this Act.
(b) Prohibition on Funding.--Beginning on the date of the enactment
of this Act, no Federal funds may be used to administer, implement, or
enforce a travel vaccination requirement for foreign travelers referred
to in subsection (c), unless otherwise specified in a provision of law
enacted after the date of the enactment of this Act.
(c) Travel Vaccination Requirement for Foreign Travelers.--In this
Act, a travel vaccination requirement for foreign travelers referred to
in this subsection is a requirement specified in--
(1) the decision issued by the Secretary of Homeland
Security and the Commissioner of U.S. Customs and Border
Protection entitled ``Notification of Temporary Travel
Restrictions Applicable to Land Ports of Entry and Ferries
Service Between the United States and Canada'' and published in
the Federal Register on April 22, 2022 (87 Fed. Reg. 24048 et
seq.) for proof of COVID-19 vaccination for travelers who are
covered individuals (as defined in such order);
(2) the decision of the Secretary of Homeland Security
entitled ``Notification of Temporary Travel Restrictions
Applicable to Land Ports of Entry and Ferries Service Between
the United States and Mexico'' published in the Federal
Register on April 22, 2022 (87 Fed. Reg. 24041) to continue to
temporarily restrict travel by certain noncitizens into the
United States at land ports of entry, including ferry
terminals, along the United States-Mexico border; or
(3) any successor or subsequent decision of the Secretary
of Homeland Security or the Commissioner of U.S. Customs and
Border Protection for the processing for entry into the United
States foreign persons to show proof of COVID-19 vaccination as
a condition on entering the United States.
<all>
</pre></body></html>
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118HR3095 | Address Iran’s Malign Posture Act | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3095 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3095
To impose sanctions with respect to foreign persons that support or
conduct certain transactions with Iran's Revolutionary Guard Corps or
other sanctioned persons, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. James (for himself, Mr. Hern, and Mr. Fallon) introduced the
following bill; which was referred to the Committee on Foreign Affairs,
and in addition to the Committees on Financial Services, Oversight and
Accountability, the Judiciary, and Ways and Means, for a period to be
subsequently determined by the Speaker, in each case for consideration
of such provisions as fall within the jurisdiction of the committee
concerned
_______________________________________________________________________
A BILL
To impose sanctions with respect to foreign persons that support or
conduct certain transactions with Iran's Revolutionary Guard Corps or
other sanctioned persons, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Address Iran's Malign Posture Act''.
SEC. 2. SANCTIONS WITH RESPECT TO FOREIGN PERSONS THAT SUPPORT OR
CONDUCT CERTAIN TRANSACTIONS WITH IRAN'S REVOLUTIONARY
GUARD CORPS OR OTHER SANCTIONED PERSONS.
(a) Identification.--Section 302(a)(1) of the Iran Threat Reduction
and Syria Human Rights Act of 2012 (22 U.S.C. 8742(a)(1))--
(1) in subparagraph (B)--
(A) by inserting ``, provide significant financial
services to, or provide material support to'' after
``transactions with''; and
(B) by striking ``or'' at the end;
(2) in subparagraph (C)--
(A) in the matter preceding clause (i), by
inserting ``, provide significant financial services
to, or provide material support to'' after
``transactions with'';
(B) in clause (i), by striking ``or'' at the end;
and
(C) by striking clause (ii) and inserting the
following:
``(ii) a person or entity designated as
foreign terrorist organizations under section
219(a) of the Immigration and Nationality Act
(8 U.S.C. 1189(a)) or that has provided support
for an act of international terrorism (as
defined in section 14 of the Iran Sanctions Act
of 1996 (Public Law 104-172; 50 U.S.C. 1701
note)); or
``(iii) a foreign person whose property and
access to property has been blocked pursuant to
Executive Order 13224 (September 23, 2001;
relating to blocking property and prohibiting
transactions with persons who commit, threaten
to commit, or support terrorism); or''; and
(3) by adding at the end the following:
``(D) a person acting on behalf of or at the
direction of, or owned or controlled (as that term is
defined in section 301) by, a person described in
subparagraph (A), (B), or (C).''.
(b) Imposition of Sanctions.--Section 302(b) of the Iran Threat
Reduction and Syria Human Rights Act of 2012 (22 U.S.C. 8742(b)) is
amended by striking ``the President--'' and all that follows and
inserting ``the President shall block and prohibit all transactions in
property and interests in property with respect to such foreign person
if such property and interests in property are in the United States,
come within the United States, or are or come within the possession or
control of a United States person.''.
(c) Waiver of Imposition of Sanctions.--Section 302(d) of the Iran
Threat Reduction and Syria Human Rights Act of 2012 (22 U.S.C. 8742(d))
is amended by adding at the end the following:
``(3) Sunset.--The provisions of this subsection and any
waivers issued pursuant to this subsection shall terminate at
the close of December 31, 2025.''.
(d) Waiver of Identifications and Designations.--Section 302(e) of
the Iran Threat Reduction and Syria Human Rights Act of 2012 (22 U.S.C.
8742(e)) is amended--
(1) by striking ``Notwithstanding'' and inserting the
following:
``(1) In general.--Notwithstanding'';
(2) by striking ``(1) determines'' and inserting the
following:
``(A) determines'';
(3) by striking ``(2) notifies'' and inserting the
following:
``(B) notifies''; and
(4) by adding at the end the following:
``(2) Sunset.--The provisions of this subsection and any
waivers issued pursuant to this subsection shall terminate at
the close of December 31, 2025.''.
(e) Application of Provisions of Iran Sanctions Act of 1996.--
Section 302(f) of the Iran Threat Reduction and Syria Human Rights Act
of 2012 (22 U.S.C. 8742(f)) is amended--
(1) by striking ``The following provisions'' and inserting
the following:
``(1) In general.--Subject to paragraph (2), the following
provisions'';
(2) by redesignating paragraphs (1) through (8) as
subparagraphs (A) through (H), respectively, and moving the
margins 2 ems to the right; and
(3) by adding at the end the following:
``(2) Sunset.--Sections 4(c) and 9(c) of the Iran Sanctions
Act of 1996 shall not apply with respect to the imposition
under subsection (b)(1) of sanctions relating to activities
described in subsection (a)(1), in accordance with the
provision of paragraph (1) of this subsection, after December
31, 2025.''.
SEC. 3. AGREEMENTS RELATED TO NUCLEAR PROGRAM OF IRAN DEEMED TREATIES
SUBJECT TO ADVICE AND CONSENT OF THE SENATE.
(a) Treaty Subject To Advice And Consent Of The Senate.--
Notwithstanding any other provision of law, any agreement reached by
the President with Iran relating to the nuclear program of Iran is
deemed to be a treaty that is subject to the requirements of article
II, section 2, clause 2 of the Constitution of the United States
requiring that the treaty is subject to the advice and consent of the
Senate, with two-thirds of Senators concurring.
(b) Limitation On Sanctions Relief.--Notwithstanding any other
provision of law, the President may not waive, suspend, reduce, provide
relief from, or otherwise limit the application of sanctions under any
other provision of law or refrain from applying any such sanctions
pursuant to an agreement related to the nuclear program of Iran that
includes the United States, unless the agreement is subject to the
advice and consent of the Senate as a treaty and receives the
concurrence of two-thirds of Senators.
<all>
</pre></body></html>
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118HR3096 | Firearm Safety Act of 2023 | [
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"C... | <p><b>Firearm Safety Act of 2023</b></p> <p>This bill allows the Consumer Product Safety Commission to issue safety standards for firearms and firearm components. </p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3096 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3096
To amend the Consumer Product Safety Act to remove the exclusion of
pistols, revolvers, and other firearms from the definition of consumer
product in order to permit the issuance of safety standards for such
articles by the Consumer Product Safety Commission.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. Kelly of Illinois (for herself, Mr. Blumenauer, Ms. Brown, Mr.
Carson, Mr. Casten, Ms. Crockett, Mr. Davis of Illinois, Mr.
DeSaulnier, Mr. Evans, Ms. Moore of Wisconsin, Ms. Norton, Mr. Payne,
and Mr. Raskin) introduced the following bill; which was referred to
the Committee on Energy and Commerce
_______________________________________________________________________
A BILL
To amend the Consumer Product Safety Act to remove the exclusion of
pistols, revolvers, and other firearms from the definition of consumer
product in order to permit the issuance of safety standards for such
articles by the Consumer Product Safety Commission.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Firearm Safety Act of 2023''.
SEC. 2. REMOVAL OF EXCLUSION OF FIREARMS FROM THE DEFINITION OF
CONSUMER PRODUCT.
Section 3(a)(5) of the Consumer Product Safety Act (15 U.S.C.
2052(a)(5)) is amended by striking subparagraph (E) and redesignating
subparagraphs (F) through (I) as subparagraphs (E) through (H),
respectively.
<all>
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118HR3097 | To amend the Bridgeport Indian Colony Land Trust, Health, and Economic Development Act of 2012 to remove the restriction on class II gaming on certain land in California. | [
[
"K000401",
"Rep. Kiley, Kevin [R-CA-3]",
"sponsor"
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3097 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3097
To amend the Bridgeport Indian Colony Land Trust, Health, and Economic
Development Act of 2012 to remove the restriction on class II gaming on
certain land in California.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Kiley introduced the following bill; which was referred to the
Committee on Natural Resources
_______________________________________________________________________
A BILL
To amend the Bridgeport Indian Colony Land Trust, Health, and Economic
Development Act of 2012 to remove the restriction on class II gaming on
certain land in California.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. REMOVAL OF CLASS II GAMING RESTRICTION.
Section 2(d) of the Bridgeport Indian Colony Land Trust, Health,
and Economic Development Act of 2012 (Public Law 112-212) is amended--
(1) by striking ``class II gaming or''; and
(2) by striking ``those terms are'' and inserting ``that
term is''.
<all>
</pre></body></html>
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118HR3098 | SALT Fairness and Deficit Reduction Act | [
[
"L000598",
"Rep. LaLota, Nick [R-NY-1]",
"sponsor"
],
[
"D000632",
"Rep. D'Esposito, Anthony [R-NY-4]",
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[
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"Rep. Lawler, Michael [R-NY-17]",
"cosponsor"
],
[
"G000061",
"Rep. Garcia, Mike [R-CA-27]",
"cosponsor"
]
] | <p><strong>SALT Fairness and Deficit Reduction Act </strong> </p> <p>This bill increases the limitation on the tax deduction for state and local taxes to $60,000 (the limit is currently $10,000 for individual taxpayers). The bill also requires an annual inflation adjustment to the increased amount beginning after 2023, and extends through 2032 the period during which the limitation is in effect.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3098 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3098
To amend the Internal Revenue Code of 1986 to modify the limitation on
the deduction for State and local taxes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. LaLota introduced the following bill; which was referred to the
Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to modify the limitation on
the deduction for State and local taxes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``SALT Fairness and Deficit Reduction
Act''.
SEC. 2. MODIFICATION OF LIMITATION ON DEDUCTION FOR STATE AND LOCAL
TAXES.
(a) Increase in Limitation.--
(1) In general.--Section 164(b)(6)(B) of the Internal
Revenue Code of 1986 is amended by striking ``$10,000 ($5,000
in the case of a married individual filing a separate return)''
and inserting ``$60,000 (twice such amount in the case of a
joint return)''.
(2) Inflation adjustment.--Section 164 of such Code is
amended by redesignating subsection (g) as subsection (h) and
by inserting after subsection (f) the following new subsection:
``(g) Inflation Adjustment.--
``(1) In general.--In the case of any taxable year
beginning after 2023, the $60,000 amount in subsection
(b)(6)(B) shall be increased by an amount equal to--
``(A) such dollar amount, multiplied by
``(B) the cost-of-living adjustment determined
under section (1)(f)(3) of the Internal Revenue Code of
1986 for the calendar year in which the taxable year
begins by substituting `2022' for `2016' in
subparagraph (A)(ii) thereof.
``(2) Rounding.--If any amount as adjusted under
subparagraph (A) is not a multiple of $50, such amount shall be
rounded to the nearest multiple of $50.''.
(b) Extension of Limitation.--Section 164(b)(6) of such Code is
amended--
(1) by striking ``January 1, 2026'' and inserting ``January
1, 2033'', and
(2) by striking ``2025'' in the heading and inserting
``2032''.
(c) Effective Date.--The amendments made by this section shall
apply to taxable years beginning after December 31, 2022.
<all>
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118HR3099 | Special Envoy for the Abraham Accords Act | [
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... | <p><b>Special Envoy for the Abraham Accords Act</b></p> <p>This bill establishes the position of Special Envoy for the Abraham Accords within the Department of State. (The Abraham Accords are agreements to normalize or improve relations between Israel and four members of the Arab League: the United Arab Emirates, Bahrain, Morocco, and Sudan.)</p> <p>The Special Envoy shall serve as the primary advisor to the U.S. government for expanding and strengthening the Abraham Accords. The duties of the Special Envoy include (1) encouraging counties without diplomatic relations with Israel to establish formal diplomatic, economic, security, and people-to-people ties; (2) expanding and strengthening existing relationships between Israel and Muslim-majority countries; and (3) coordinating efforts across the US government and engaging diplomatically with foreign governments, nongovernmental organizations, and other stakeholders to expand and strengthen the Abraham Accords. </p> <p>The Special Envoy shall have the rank and status of ambassador. </p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3099 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3099
To establish in the Department of State the position of Special Envoy
for the Abraham Accords, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Lawler (for himself and Mr. Torres of New York) introduced the
following bill; which was referred to the Committee on Foreign Affairs
_______________________________________________________________________
A BILL
To establish in the Department of State the position of Special Envoy
for the Abraham Accords, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Special Envoy for the Abraham
Accords Act''.
SEC. 2. FINDINGS.
Congress finds that the policy of the United States, as enacted in
section 104 of the Israel Relations Normalization Act of 2022 (division
Z of Public Law 117-103), with respect to the Abraham Accords remains
unchanged.
SEC. 3. SPECIAL ENVOY FOR THE ABRAHAM ACCORDS.
Title I of the State Department Basic Authorities Act of 1956 (22
U.S.C. 2651a et seq.) is amended by adding at the end the following new
section:
``SEC. 64. SPECIAL ENVOY FOR THE ABRAHAM ACCORDS.
``(a) Special Envoy for the Abraham Accords.--There is established
within the Department of State a Special Envoy for the Abraham Accords
(in this section referred to as the `Special Envoy'), who shall serve
as the primary advisor to, and coordinate efforts across, the United
States Government relating to expanding and strengthening the Abraham
Accords. The Special Envoy shall report directly to the Secretary of
State and shall hold the office at the pleasure of the President.
``(b) Nomination.--Pursuant to subsection (j)(1) of section 1, the
Special Envoy shall be appointed by the President, by and with the
advice and consent of the Senate, and may be appointed from among the
officers and employees of the Department except that such officer or
employee may not retain the position (or the responsibilities
associated with the position) held by such officer or employee prior to
such appointment simultaneously with the position or responsibilities
of the Special Envoy.
``(c) Rank and Status of Ambassador.--The Special Envoy shall have
the rank and status of ambassador.
``(d) Duties.--The Special Envoy shall be responsible for--
``(1) encouraging countries without diplomatic relations
with Israel to establish formal diplomatic, economic, security,
and people-to-people ties;
``(2) seeking to expand and strengthen existing
relationships between Israel and Muslim-majority countries,
including those outside the geographic scope of the Near
Eastern Affairs Bureau of the Department of State, to ensure
that all parties reap tangible security and economic benefits
for their citizens;
``(3) building on existing efforts, including the Negev
Forum, to help foster enhanced cooperation between Israel and
Muslim-majority countries on shared priorities including as
relates to trade, agriculture, and water security;
``(4) providing diplomatic support for Israel's integration
into cooperative efforts related to regional security; and
``(5) coordinating lines of effort across the United States
Government, including the regional and functional bureaus
within the Department of State, and conducting appropriate
diplomatic engagement with foreign governments, nongovernmental
organizations, and other stakeholders determined appropriate by
the Special Envoy in order to expand and strengthen the Abraham
Accords.
``(e) Report.--
``(1) In general.--Not later than 1 year after the date of
the confirmation of the first Special Envoy appointed pursuant
to this section, and annually thereafter, the Special Envoy
shall submit to the Committee on Foreign Affairs of the House
of Representatives and the Committee on Foreign Relations of
the Senate a report describing all United States efforts to
expand the Abraham Accords, including specific diplomatic
engagements and status of efforts with respect to specific
countries.
``(2) Form of report.--The report required by paragraph (1)
shall be submitted in unclassified form but may contain a
separate, classified annex.''.
<all>
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118HR31 | Cover Outstanding Vulnerable Expansion-eligible Residents Now Act | [
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... | <p><b>Cover Outstanding Vulnerable Expansion-eligible Residents Now Act or the COVER Now Act</b></p> <p>This bill establishes a demonstration program to allow local governments to provide health benefits to the Medicaid expansion population in states that have not expanded Medicaid. </p> <p>Under the program, local governments may provide coverage for individuals who are newly eligible for Medicaid under the Patient Protection and Affordable Care Act (i.e., the Medicaid expansion population) for a maximum of 10 years, or until their respective states expand Medicaid. The bill provides a 100% federal matching rate for the first three years of program participation.</p> <p>The bill prohibits states from taking certain actions against participating localities, such as withholding funding, increasing taxes, or restricting provider participation. States that violate these requirements are subject to certain funding penalties.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 31 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 31
To amend title XIX of the Social Security Act to provide for a
demonstration project under the Medicaid program for political
subdivisions of States to provide medical assistance for the expansion
population under such program, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 9, 2023
Mr. Doggett (for himself, Mr. Allred, Mr. Bishop of Georgia, Ms. Bush,
Mr. Casar, Ms. Castor of Florida, Mr. Castro of Texas, Mr. Cleaver, Mr.
Cohen, Mr. Connolly, Mr. Cuellar, Mr. DeSaulnier, Ms. Escobar, Ms. Lois
Frankel of Florida, Ms. Garcia of Texas, Mr. Vicente Gonzalez of Texas,
Mr. Green of Texas, Ms. Jackson Lee, Mr. Johnson of Georgia, Ms.
Manning, Mrs. McBath, Mr. Nickel, Ms. Norton, Mr. Pocan, Ms. Ross, Mr.
David Scott of Georgia, Ms. Sewell, Mr. Soto, Mr. Thompson of
Mississippi, Mr. Veasey, Ms. Wasserman Schultz, Ms. Williams of
Georgia, Ms. Wilson of Florida, Ms. Adams, Mrs. Cherfilus-McCormick,
Ms. Crockett, Mr. Moskowitz, Mr. Davis of North Carolina, Mr. Clyburn,
Mr. Jackson of North Carolina, and Mrs. Fletcher) introduced the
following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To amend title XIX of the Social Security Act to provide for a
demonstration project under the Medicaid program for political
subdivisions of States to provide medical assistance for the expansion
population under such program, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Cover Outstanding Vulnerable
Expansion-eligible Residents Now Act'' or the ``COVER Now Act''.
SEC. 2. DEMONSTRATION PROJECT FOR POLITICAL SUBDIVISIONS OF STATES TO
PROVIDE MEDICAL ASSISTANCE FOR MEDICAID EXPANSION
POPULATION.
(a) In General.--Section 1902 of the Social Security Act is
amended--
(1) in subsection (a)--
(A) in paragraph (86), by striking at the end
``and'';
(B) in paragraph (87), by striking the period at
the end and inserting ``; and''; and
(C) by inserting after paragraph (87) the following
new paragraph:
``(88) provide, at the option of the qualifying political
subdivisions of a State, for a demonstration project described
in subsection (uu).''; and
(2) by adding at the end the following new subsection:
``(uu) Demonstration Project for Political Subdivisions of States
To Provide Medical Assistance for Expansion Population.--
``(1) In general.--Notwithstanding section subsection
(a)(5), the Secretary shall conduct a demonstration project
under which the Secretary shall, subject to paragraph (9),
select qualifying political subdivisions described in paragraph
(2) to provide, in accordance with the requirements of this
subsection, medical assistance for individuals described in
subclause (VIII) of subsection (a)(10)(A)(i) who reside in such
political subdivisions in accordance with the timeline
specified under paragraph (8).
``(2) Waiver authority.--The Secretary may waive the
requirements of paragraphs (1) and (5) of subsection (a)
relating to statewideness and relating to single state agency,
respectively.
``(3) Qualifying political subdivision.--A qualifying
political subdivision described in this paragraph is--
``(A) a political subdivision--
``(i) located in a State that has not
elected to provide medical assistance for
individuals described in subclause (VIII) of
subsection (a)(10)(A)(i) as of the date of the
enactment of this subsection; and
``(ii) submits an application to the
Secretary--
``(I) at such time, in such manner,
and containing such information as the
Secretary may require; and
``(II) which has undergone a
process for public notice and comment
at the political subdivision level,
including public hearings, sufficient
to ensure a meaningful level of public
input; or
``(B) any number of political subdivisions
described in subparagraph (A) which form a partnership
for purposes of implementing the demonstration project
under this subsection.
``(4) Length of demonstration project.--
``(A) In general.--Subject to subparagraph (B), a
qualifying political subdivision selected to
participate in the demonstration project under this
subsection or partnership described in paragraph (3)(B)
(referred to in this subsection as a `participating
political subdivision') shall provide medical
assistance for individuals described in subclause
(VIII) of subsection (a)(10)(A)(i) for seven years or
through the day before the date on which the State in
which such political subdivision is located provides
for medical assistance under the State plan (or a
waiver of such plan) for such individuals, whichever is
shorter.
``(B) Extension.--A participating political
subdivision that participates in the demonstration
project under this subsection for five years may extend
its participation in the demonstration project by
submitting an application to the Secretary at such
time, in such manner, and containing such information
as the Secretary may require. Under such extension,
such political subdivision shall provide medical
assistance for individuals described in subclause
(VIII) of subsection (a)(10)(A)(i) for up to an
additional five years or through the day before the
date on which the State in which such political
subdivision is located provides for medical assistance
under the State plan (or a waiver of such plan) for
such individuals, whichever is shorter.
``(C) Automatic enrollment in case of states that
elect to provide medical assistance for expansion
population.--In the case of a participating political
subdivision whose participation in the demonstration
project under this subsection ends because the State in
which such political subdivision is located elects to
provide for medical assistance under the State plan (or
a waiver of such plan) for individuals described in
subclause (VIII) of subsection (a)(10)(A)(i), such
State shall automatically enroll under such State plan
(or waiver) any eligible and enrolled individual so
described receiving medical assistance from such
political subdivision and coverage for such individual
under such State plan (or waiver) beginning with the
first day on which the State provides medical
assistance under such State plan (or waiver) for
individuals described in subclause (VIII) of subsection
(a)(10)(A)(i).
``(5) Payments.--
``(A) In general.--The Secretary shall pay a
participating political subdivision the Federal
matching percentage specified in subparagraph (B) for
amounts expended by such political subdivision to
provide medical assistance for individuals described in
subclause (VIII) of subsection (a)(10)(A)(i).
``(B) Calculation of federal and non-federal
share.--Except as provided under clause (ii) and
subparagraph (C), the calculation and payment of the
Federal and non-Federal share of expenditures for
medical assistance under a demonstration described in
paragraph (1) shall be calculated in accordance with
section 1903 as if the qualifying political subdivision
was a State.
``(C) Federal matching percentage.--The Federal
matching percentage specified in this subparagraph,
with respect to a participating political subdivision
and the demonstration project under this subsection,
is--
``(i) 100 percent for calendar quarters in
the first three years that such political
subdivision participates in such demonstration
project, if applicable;
``(ii) with respect to a participating
political subdivision which--
``(I) includes a rural political
subdivision (as defined by the Office
of Management and Budget), 100 percent
for calendar quarters in the fourth
year that such political subdivision
participates in such demonstration
project, if applicable; and
``(II) does not include a rural
political subdivision (as defined by
the Office of Management and Budget),
95 percent for calendar quarters in the
fourth year that such political
subdivision participates in such
demonstration project, if applicable;
``(iii) with respect to a participating
political subdivision which--
``(I) includes a rural political
subdivision (as defined by the Office
of Management and Budget), 95 percent
for calendar quarters in the fifth year
that such political subdivision
participates in such demonstration
project, if applicable; and
``(II) does not include a rural
political subdivision (as defined by
the Office of Management and Budget),
94 percent for calendar quarters in the
fifth year that such political
subdivision participates in such
demonstration project, if applicable;
``(iv) with respect to a participating
political subdivision which--
``(I) includes a rural political
subdivision (as defined by the Office
of Management and Budget), 94 percent
for calendar quarters in the sixth year
that such political subdivision
participates in such demonstration
project, if applicable; and
``(II) does not include a rural
political subdivision (as defined by
the Office of Management and Budget),
93 percent for calendar quarters in the
sixth year that such political
subdivision participates in such
demonstration project, if applicable;
``(v) with respect to a participating
political subdivision which--
``(I) includes a rural political
subdivision (as defined by the Office
of Management and Budget), 93 percent
for calendar quarters in the seventh
year that such political subdivision
participates in such demonstration
project, if applicable; and
``(II) does not include a rural
political subdivision (as defined by
the Office of Management and Budget),
90 percent for calendar quarters in the
seventh year that such political
subdivision participates in such
demonstration project, if applicable;
and
``(vi) 90 percent for calendar quarters in
the eighth year and any subsequent years
thereafter that such political subdivision
participates in such demonstration project, if
applicable.
``(6) Comparability of benefits to essential health
benefits.--The medical assistance made available by a
participating political subdivision to individuals described in
subclause (VIII) of subsection (a)(10)(A)(i) shall consist of
coverage described in subsection (k)(1).
``(7) Reduction in federal funding for medical assistance
for states that take certain actions.--
``(A) In general.--In the case of a State that does
any of the prohibited items described in subparagraph
(B), the Secretary shall withhold from the amount
otherwise payable under section 1903 an amount equal to
25 percent of the amount of administrative costs under
the State plan under title XIX during a calendar.
``(B) Prohibited items.--For purposes of
subparagraph (A), a State may not--
``(i) shift the costs of providing medical
assistance to individuals enrolled under a
State plan under title XIX to a political
subdivision that establishes a demonstration
project under this subsection by disenrolling
such individuals from the State plan to the
demonstration project of the political
subdivision;
``(ii) withhold or reduce any kind of
funding or State support to political
subdivision on account of the political
subdivision's establishment of a demonstration
project;
``(iii) increase taxes on taxpayers of a
political subdivision on account of the
political subdivision's establishment of a
demonstration project;
``(iv) require a political subdivision to
increase or lower a tax rate required by the
political subdivision on account of the
political subdivision's establishment of a
demonstration project;
``(v) prohibit a political subdivision from
participating in a demonstration project
pursuant to this subsection;
``(vi) prohibit a political subdivision
from participating in a Federal demonstration
project, establishing or expanding a health
coverage program, contracting or otherwise
entering into an agreement with the Centers for
Medicare & Medicaid Services, or receiving
Federal funding directly from a Federal agency;
``(vii) prohibit a health care provider,
hospital, federally qualified health center, or
rural health clinic from--
``(I) accepting patients with
health coverage provided by a political
subdivision;
``(II) accepting payments from a
political subdivision;
``(III) making payments, including
taxes, to a political subdivision; or
``(IV) participating in the State
Medicaid program on account of
participation in a demonstration
project pursuant to this subsection;
``(viii) refuse to allow a political
subdivision to rely on State Medicaid systems
and State Medicaid agency staff to implement a
demonstration project, including--
``(I) the State's Medicaid
eligibility check and enrollment
system;
``(II) provider payment system;
``(III) claims processing system;
``(IV) fair hearing system; and
``(V) Federal reporting requirement
system; or
``(ix) take any other punitive action
against a political subdivision that establish
a demonstration project.
``(8) Timeline specified.--For purposes of paragraph (1),
the timeline specified in this paragraph shall require--
``(A) not later than 180 days after the date of the
enactment of this subsection, the Secretary to
promulgate any regulations necessary to carry out this
subsection, including--
``(i) the application requirements for a
political subdivision to apply for a
demonstration project, criteria on which
applications will be reviewed, and how long
political subdivisions have to begin the
demonstration once an application is approved;
and
``(ii) the application of all requirements
under section 1903 to a participating political
subdivision as if it was a State;
``(B) not later than 180 days after receiving an
application from a qualifying political subdivision
described in paragraph (3), the Secretary to transmit a
notice to such qualifying political subdivision of the
application's approval or rejection, and in case of a
rejection an explanation for the rejection; and
``(C) not later than 7 years after the approval of
an application, the Secretary to transmit a notice to
such qualifying political subdivision of the
application's approval or rejection for an extension
under this subsection.
``(9) Limitation on number of demonstration projects.--The
Secretary may not approve more than 100 demonstration projects
under this subsection, which may consist of demonstration
projects implemented by a single participating political
subdivision or implemented as partnerships formed by multiple
participating political subdivisions (as described in paragraph
(3)(B)).
``(10) Application without regard to budget neutrality.--
The Secretary shall not require, as a condition for carrying
out the demonstration project under this subsection, that the
demonstration project ensure that such model is budget neutral
initially with respect to expenditures under the applicable
title.
``(11) Report.--Not later than 4 years after the first date
of the demonstration project, the Secretary shall submit a
report to Congress on--
``(A) the effect of the demonstration project on--
``(i) the number of beneficiaries enrolled
in demonstration projects under this
subsection; and
``(ii) the amount of uncompensated care
costs for State Medicaid plans; and
``(B) whether any States with a demonstration
project under this subsection have expanded Medicaid
coverage under the Patient Protection and Affordable
Care Act.''.
(b) Payment to States.--Section 1903(a) of the Social Security Act
(42 U.S.C. 1396b(a)) is amended--
(1) in paragraph (6)(B), by striking at the end ``and'';
(2) in paragraph (7), by striking the period at the end and
inserting ``; and''; and
(3) by adding at the end the following new paragraph:
``(8) an amount equal to an increase of 5 percentage points
to Federal matching percentage for administrative costs for
every 100,000 individuals described in paragraph (1) of section
1115(g) who are enrolled in a demonstration project of a
participating political subdivision (as referred to in
paragraph (4)(A) of such section) during a calendar quarter.''.
<all>
</pre></body></html>
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118HR310 | Dismantling Investments in Violation of Ethical Standards through Trusts Act | [
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"B... | <p><strong>Dismantling Investments in Violation of Ethical Standards through Trusts Act</strong></p> <p>This bill prohibits a senior federal employee, his or her spouse, or dependent children from holding, purchasing, or selling certain financial instruments during the employee's term of service.</p> <p>Any profit made in violation of the prohibition must be disgorged to the Treasury and may subject the individual to a civil fine. The bill also requires the submission of an annual certification of compliance and requires the Government Accountability Office to conduct a compliance audit.</p> <p> A loss from a transaction or holding involving a covered financial instrument that is conducted in violation of this bill may not be deducted from the amount of income tax owed by the applicable senior federal employee, spouse, or dependent child.</p> <p>A senior federal employee who holds or conducts a transaction involving a covered financial instrument in violation of this bill may be subject to a civil fine assessed by the supervising ethics office.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 310 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 310
To amend title 5, United States Code, to prohibit transactions
involving certain financial instruments by senior Federal employees,
their spouses, or dependent children, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 12, 2023
Mr. Cloud (for himself and Mr. Golden of Maine) introduced the
following bill; which was referred to the Committee on Oversight and
Accountability, and in addition to the Committee on Ways and Means, for
a period to be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To amend title 5, United States Code, to prohibit transactions
involving certain financial instruments by senior Federal employees,
their spouses, or dependent children, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Dismantling Investments in Violation
of Ethical Standards through Trusts Act''.
SEC. 2. PROHIBITING TRANSACTIONS AND OWNERSHIP OF CERTAIN FINANCIAL
INSTRUMENTS BY SENIOR FEDERAL EMPLOYEES, THEIR SPOUSES,
OR DEPENDENT CHILDREN.
(a) In General.--Chapter 13 of title 5, United States Code, is
amended by adding after subchapter III the following:
``SUBCHAPTER IV--RESTRICTIONS REGARDING FINANCIAL INSTRUMENTS
``Sec. 13151. Definitions
``In this subchapter:
``(1) Covered financial instrument.--
``(A) In general.--The term `covered financial
instrument' means--
``(i) any investment in--
``(I) a security (as defined in
section 3(a) of Securities Exchange Act
of 1934 (15 U.S.C. 78c(a)));
``(II) a security future (as
defined in that section); or
``(III) a commodity (as defined in
section 1a of the Commodity Exchange
Act (7 U.S.C. 1a)); and
``(ii) any economic interest comparable to
an interest described in clause (i) that is
acquired through synthetic means, such as the
use of a derivative, including an option,
warrant, or other similar means.
``(B) Exclusions.--The term `covered financial
instrument' does not include--
``(i) a diversified mutual fund;
``(ii) a diversified exchange-traded fund;
``(iii) a United States Treasury bill,
note, or bond; or
``(iv) compensation from the primary
occupation of a spouse or dependent child of a
senior Federal employee.
``(2) Qualified blind trust.--The term `qualified blind
trust' has the meaning given the term in section 13104.
``(3) Senior federal employee.--The term `senior Federal
employee' means any individual occupying a Senior Executive
Service position (as that term is defined in section 3132).
``(4) Supervising ethics office.--The term `supervising
ethics office' has the meaning given the term in section 13101.
``Sec. 13152. Prohibition on certain transactions and holdings
involving covered financial instruments
``(a) Prohibition.--Except as provided in subsection (b), a senior
Federal employee, their spouse, or their dependent children may not,
during the term of service of the employee, hold, purchase, or sell any
covered financial instrument.
``(b) Exceptions.--The prohibition under subsection (a) does not
apply to--
``(1) a sale by a senior Federal employee, their spouse, or
their dependent child that is completed by the date that is--
``(A) for an employee serving on the date of
enactment of this title, 180 days after that date of
enactment; and
``(B) for any employee who commences service as an
employee after the date of enactment of this title, 180
days after the first date of the initial term of
service;
``(2) a covered financial instrument held in a qualified
blind trust operated on behalf of, or for the benefit of, a
senior Federal employee, their spouse, or their dependent
child; or
``(3) a covered financial instrument exempted from coverage
under section 208 of title 18 pursuant to section 2640.202 of
title 5, Code of Federal Regulations (or any successor
regulation).
``(c) Application of Certificate of Divestiture Program.--For
purposes of section 1043 of the Internal Revenue Code of 1986--
``(1) this section shall be treated as a Federal conflict
of interest statute; and
``(2) any person required to dispose of any property by
reason of this section shall be treated as an eligible person.
``(d) Penalties.--
``(1) Disgorgement.--A senior Federal employee, their
spouse, or their dependent child shall disgorge to the general
fund of the Treasury any profit from a transaction or holding
involving a covered financial instrument that is conducted in
violation of this section.
``(2) Income tax.--A loss from a transaction or holding
involving a covered financial instrument that is conducted in
violation of this section may not be deducted from the amount
of income tax owed by the applicable senior Federal employee,
their spouse, or their dependent child.
``(3) Fines.--A senior Federal employee who holds or
conducts a transaction involving a covered financial instrument
in violation of this section may be subject to a civil fine
assessed by the supervising ethics office under section 13153.
``Sec. 13153. Certification of compliance
``(a) In General.--Not less frequently than annually, each senior
Federal employee shall submit to the supervising ethics office a
written certification that the employee, their spouse, or their
dependent child has achieved compliance with the requirements of this
title.
``(b) Publication.--The supervising ethics office shall publish
each certification submitted under subsection (a) on a publicly
available website.
``Sec. 13154. Authority of supervising ethics office
``(a) In General.--The supervising ethics office may implement and
enforce the requirements of this subchapter, including by--
``(1) issuing--
``(A) for applicable senior Federal employees--
``(i) rules governing that implementation;
and
``(ii) 1 or more reasonable extensions to
achieve compliance with this subchapter, if the
supervising ethics office determines that an
employee is making a good faith effort to
divest any covered financial instruments; and
``(B) guidance relating to covered financial
instruments;
``(2) publishing on the internet certifications submitted
by senior Federal employees under section 13153(a); and
``(3) assessing civil fines against any senior Federal
employee who is in violation of this subchapter, subject to
subsection (b).
``(b) Requirements for Civil Fines.--
``(1) Amount.--A fine imposed under this section against a
senior Federal employee shall be equal to the greater of--
``(A) $1,000, or
``(B) an amount equal to 10 percent of the greatest
dollar value of the applicable covered financial
instrument during any period that such instrument was
held by the applicable senior Federal employee or their
spouse or dependent child (as the case may be).
``(2) In general.--Before imposing a fine pursuant to this
section, the supervising ethics office shall provide to the
applicable senior Federal employee--
``(A) a written notice describing each covered
financial instrument transaction for which a fine will
be assessed; and
``(B) an opportunity, with respect to each such
covered financial instrument transaction--
``(i) for a hearing; and
``(ii) to achieve compliance with the
requirements of this subchapter.
``(3) Publication.--The supervising ethics office shall
publish on a publicly available website a description of--
``(A) each fine assessed pursuant to this section;
``(B) the reasons why each such fine was assessed;
and
``(C) the result of each assessment, including any
hearing under paragraph (2)(B)(i) relating to the
assessment.
``(4) Appeal.--A senior Federal employee may appeal to the
supervising ethics office a fine assessed under this section
during the 30-day period beginning on the date the fine is so
assessed.
``Sec. 13155. Audit by Government Accountability Office
``Not later than 2 years after the date of enactment of this
subchapter, the Comptroller General of the United States shall--
``(1) conduct an audit of the compliance by senior Federal
employees with the requirements of this subchapter; and
``(2) submit to each supervising ethics office a report
describing the results of the audit conducted under paragraph
(1).''.
(b) Application.--The amendments made by subsection (a) shall apply
to individuals described in section 13152(a) of title 5, United States
Code, (as added by subsection (a)) beginning on the date that is 12
months following the date of enactment of this Act.
(c) Additional Employees.--Section 13121(c)(1) of title 5, United
States Code, is amended by inserting ``up to 100'' after ``appoint''.
(d) Funding.--The Director of the Office of Management and Budget
may transfer such funds as the Director considers appropriate, to be
derived from unobligated amounts available for executive branch
programs identified by the Director to be duplicative, to the Office of
Government Ethics for the purpose of carrying out this Act, to remain
available until the date that is 5 years following the date of the
enactment of this Act.
<all>
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118HR3100 | Sickle Cell Care Expansion Act of 2023 | [
[
"L000551",
"Rep. Lee, Barbara [D-CA-12]",
"sponsor"
],
[
"D000096",
"Rep. Davis, Danny K. [D-IL-7]",
"cosponsor"
],
[
"C001125",
"Rep. Carter, Troy [D-LA-2]",
"cosponsor"
]
] | <p><strong>Sickle Cell Care Expansion Act of 2023</strong></p> <p>This bill establishes programs to increase treatment and other services for populations with sickle cell disease. Sickle cell disease is an inherited blood disorder that can lead to pain, anemia, infections, and stroke.</p> <p>Specifically, the Department of Health and Human Services (HHS) must award grants to federally qualified health centers, community-based organizations, or other nonprofits that treat or otherwise support populations with sickle cell disease for education and advocacy programs concerning the disease. HHS must also award grants to nonprofits, including hospitals or institutions of higher education, that provide comprehensive care to populations with sickle cell disease for programs to support the transition from pediatric to adult care for patients with the disease.</p> <p>Additionally, the Health Resources and Services Administration must establish a program to provide scholarships or student loan repayment awards to individuals who commit to engage in clinical practice or research related to sickle cell disease for a period of obligated service as physicians.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3100 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3100
To amend the Public Health Service Act to authorize a scholarship and
loan repayment program to incentivize physicians to enter into the
field of sickle cell disease research, treatment, and patient care, and
for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. Lee of California (for herself and Mr. Davis of Illinois)
introduced the following bill; which was referred to the Committee on
Energy and Commerce
_______________________________________________________________________
A BILL
To amend the Public Health Service Act to authorize a scholarship and
loan repayment program to incentivize physicians to enter into the
field of sickle cell disease research, treatment, and patient care, and
for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Sickle Cell Care Expansion Act of
2023''.
SEC. 2. ADVANCING TREATMENT AND RESEARCH PERTAINING TO SICKLE CELL
DISEASE.
Part D of title III of the Public Health Service Act (42 U.S.C.
254b et seq.) is amended by adding at the end the following:
``Subpart XIII--Advancing Treatment and Research Pertaining to Sickle
Cell Disease
``SEC. 340J. SCHOLARSHIP AND LOAN REPAYMENT PROGRAM.
``(a) In General.--To advance learning regarding sickle cell
disease and to enhance the supply of physicians to treat such disease,
especially with respect to adult populations, the Secretary, acting
through the Administrator of the Health Resources and Services
Administration, shall carry out a program consisting of entering into
contracts with individuals under which--
``(1) the Secretary awards a scholarship under subsection
(b) or agrees to make loan repayments under subsection (c) with
respect to each individual; and
``(2) the individual agrees to serve for a period (in this
section referred to as the `period of obligated service') as a
physician engaged in--
``(A) sickle cell disease research; or
``(B) service in a public or private setting that
is primarily focused on treatment and education related
to sickle cell disease in a health care facility,
clinic, rural health clinic, mobile medical asset, or
other facility as determined by the Secretary.
``(b) Scholarships.--
``(1) Eligibility.--To be eligible to participate in the
scholarship program under this section, an individual shall--
``(A) be accepted for enrollment, or be enrolled,
as a full-time student in an accredited (as determined
by the Secretary) educational institution in a State
and in a course of study or program offered by such
institution and approved by the Secretary, leading to a
degree in medicine or osteopathic medicine;
``(B) submit an application to participate in the
scholarship program; and
``(C) sign and submit to the Secretary, at the time
of submittal of such application, a written contract
(described in paragraph (2)) to accept payment of a
scholarship and to serve (in accordance with this
section) for the applicable period of obligated
service.
``(2) Written contract.--The written contract under this
subsection between the Secretary and an individual shall
contain--
``(A) an agreement that--
``(i) subject to paragraph (1), the
Secretary agrees to provide the individual with
a scholarship in each such school year or years
for a period of years (not to exceed four
school years) determined by the individual,
during which period the individual is pursuing
a course of study described in paragraph
(1)(A); and
``(ii) subject to paragraph (1), the
individual agrees to--
``(I) accept provision of such a
scholarship to the individual;
``(II) maintain enrollment in a
course of study described in paragraph
(1)(A) until the individual completes
the course of study;
``(III) maintain an acceptable
level of academic standing;
``(IV) complete a residency in a
specialty that the Secretary determines
is consistent with pursuit of a
fellowship in hematology;
``(V) complete a fellowship in the
specialty of hematology; and
``(VI) serve for a time period
equal to one year for each school year
for which the individual was provided a
scholarship under this section;
``(B) a provision that any financial obligation of
the United States arising out of the contract and any
obligation of the individual which is conditioned
thereon, is contingent upon funds being appropriated
for scholarships under this section;
``(C) a statement of the damages to which the
United States is entitled if the individual should
breach the contract; and
``(D) such other statements of the rights and
liabilities of the Secretary and of the individual as
the Secretary determines appropriate, not inconsistent
with the provisions of this section.
``(c) Loan Repayments.--
``(1) Eligibility.--To be eligible to participate in the
loan repayment program under this section, an individual
shall--
``(A) have a degree in medicine or osteopathic
medicine; be enrolled in an approved graduate training
program in medicine or osteopathic medicine; or be
enrolled as a full-time student in an accredited (as
determined by the Secretary) educational institution in
a State, and in the final year of a course of study
offered by such institution and approved by the
Secretary, leading to a degree in medicine or
osteopathic medicine;
``(B) submit an application to participate in the
loan repayment program; and
``(C) sign and submit to the Secretary, at the time
of submittal of such application, a written contract
(described in paragraph (2)) to accept payment by the
Secretary of the educational loans of the individual in
consideration of the individual serving for a period of
obligated service.
``(2) Written contract.--The written contract under this
subsection between the Secretary and an individual shall
contain--
``(A) an agreement that--
``(i) subject to paragraph (1), the
Secretary agrees to pay on behalf of the
individual the principal, interest, and related
expenses on government and commercial loans
received by the individual regarding the
undergraduate or graduate education of the
individual (or both), which loans were made
for--
``(I) tuition expenses;
``(II) all other reasonable
educational expenses, including fees,
books, and laboratory expenses,
incurred by the individual; or
``(III) reasonable living expenses
as determined by the Secretary; and
``(ii) subject to paragraph (1), the
individual agrees to--
``(I) accept loan payments on
behalf of the individual;
``(II) maintain enrollment in a
course of study described in paragraph
(1)(A) (if applicable) until the
individual completes the course of
study;
``(III) maintain an acceptable
level of academic standing;
``(IV) complete a residency in a
specialty that the Secretary determines
is consistent with pursuit of a
fellowship in hematology; and
``(V) complete a fellowship in
hematology;
``(B) a provision that any financial obligation of
the United States arising out of the contract and any
obligation of the individual which is conditioned
thereon, is contingent upon funds being appropriated
for loan repayments under this section;
``(C) a statement of the damages to which the
United States is entitled if the individual should
breach the contract; and
``(D) such other statements of the rights and
liabilities of the Secretary and of the individual as
the Secretary determines appropriate, not inconsistent
with the provisions of this section.
``(d) Priority.--In awarding contracts under this section for
scholarships and loan repayments, the Secretary may prioritize making
awards to individuals from disadvantaged backgrounds.
``(e) Definition.--In this section, the term `sickle cell disease
research' means research into the detection, diagnosis, treatment, or
control of sickle cell disease.
``(f) Authorization of Appropriations.--To carry out this section,
there is authorized to be appropriated $150,000,000 for each of fiscal
years 2024 through 2029.
``SEC. 340J-1. COMMUNITY-BASED GRANTS TO ENGAGE THE SICKLE CELL DISEASE
POPULATION BY DESIGNING EDUCATION AND ADVOCACY PROGRAMS
AND POLICIES FOR HEALTH AND COMMUNITY SERVICES.
``(a) In General.--The Secretary shall carry out a program
consisting of awarding grants to eligible entities for the
establishment and support of education and advocacy programs that
engage the sickle cell disease population, their families, or State and
local governments in order to--
``(1) improve sickle cell disease health literacy,
including mental health awareness and educational attainment;
``(2) disseminate information on health and community
services related to sickle cell disease; or
``(3) improve access to care and treatment decision-making
processes related to sickle cell disease.
``(b) Applications.--To seek a grant under subsection (a), an
eligible entity shall submit an application to the Secretary at such
time, in such manner, and containing such information and assurances as
the Secretary may require.
``(c) Consideration.--In determining whether to award a grant under
this section to an applicant, and the amount of a grant under this
section, the Secretary shall consider the need for sickle cell
education or services in the area to be served using the grant.
``(d) Definition.--In this section, the term `eligible entity'
means--
``(1) a community-based organization or faith-based
organization or clinic that provides services to, or engages
in, advocacy for individuals with sickle cell disease;
``(2) a nonprofit organization providing comprehensive care
to populations with sickle cell disease, including any such
nonprofit organization that is a faith-based organization or
community-based organization; or
``(3) a Federally qualified health center (as defined in
section 1861(aa) of the Social Security Act) or nonprofit
organization engaged in providing sickle cell disease
education, information, or treatment services.
``(e) Authorization of Appropriations.--To carry out this section,
there is authorized to be appropriated $50,000,000 for each of fiscal
years 2024 through 2029.
``SEC. 340J-2. GRANTS FOR SICKLE CELL DISEASE PEDIATRIC TO ADULT
TRANSITIONS OF CARE.
``(a) In General.--The Secretary shall carry out a program of
awarding grants to eligible entities for the establishment and support
of programs--
``(1) that--
``(A) provide transition support through a
dedicated transition coordinator and management of care
for sickle cell disease patients between the ages of 18
and 29 who are aging out of pediatric care and
receiving adult care for sickle cell disease;
``(B) assist sickle cell patients in identifying
and maintaining adult primary care providers and adult
specialists for sickle cell disease compatible with the
patient's health insurance; and
``(C) provide support services, including mental
health services, for the management of the patient's
treatments and medical appointments throughout the
transition to adult care; and
``(2) which, in the case of an eligible entity that is a
hospital or an institute of higher education, may include
providing training to adult sickle cell disease care
specialists on the medical needs of young sickle cell disease
patients, through--
``(A) 1- to 2-year long fellowships for any
individual that has completed a residency in medicine,
combined internal medicine and pediatrics, or family
medicine; or
``(B) short-term programs and workshops.
``(b) Eligible Entities.--To be eligible to receive a grant under
this section, an entity shall--
``(1) be a nonprofit organization providing comprehensive
care to populations with sickle cell disease, including a
hospital or an institute of higher education, and including any
such nonprofit organization that is a faith-based organization
or community-based organization; and
``(2) submit an application to the Secretary at such time,
in such manner, and containing such information and assurances
as the Secretary may require.
``(c) Consideration.--In determining whether to award a grant under
this section to an eligible entity, and the amount of a grant under
this section, the Secretary shall consider the size of the population
the eligible entity intends to serve.
``(d) Reports.--
``(1) Reporting by eligible entities.--Eligible entities
receiving a grant under this section shall submit, during the
grant period, an annual report to the Secretary. Each such
report shall--
``(A) use an established and recognized registry on
measuring quality metrics specified by the Secretary;
and
``(B) include--
``(i) a description of the activities
carried out using the grant funds;
``(ii) a summary of the health outcomes for
sickle cell patients benefitting from the
transition coordination and management program
supported by the grant; and
``(iii) the number of specialists trained
and fellowships funded under the grant, as
described in subsection (a)(2), as applicable.
``(2) Reporting by the secretary.--Not later than 2 years
after the date of enactment of the Sickle Cell Care Expansion
Act of 2023, and annually thereafter, the Secretary shall
submit to the Committee on Health, Education, Labor, and
Pensions of the Senate and the Committee on Energy and Commerce
of the House of Representatives a report on activities carried
out by eligible entities under this section, based on the
reports submitted to the Secretary under paragraph (1).
``(e) Authorization of Appropriations.--To carry out this section,
there is authorized to be appropriated $70,000,000 for each of fiscal
years 2024 through 2029.''.
<all>
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118HR3102 | TSA Act | [
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... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3102 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3102
To prohibit the Transportation Security Administration from using the
``X'' gender designation in the TSA PreCheck advanced security program,
and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mrs. Lesko (for herself, Mr. Duncan, Mr. Good of Virginia, Mrs. Miller
of Illinois, Mr. Norman, and Mr. Biggs) introduced the following bill;
which was referred to the Committee on Homeland Security
_______________________________________________________________________
A BILL
To prohibit the Transportation Security Administration from using the
``X'' gender designation in the TSA PreCheck advanced security program,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Traditional Screening Application
Act'' or the ``TSA Act''.
SEC. 2. PROHIBITION.
(a) In General.--The Administrator of the Transportation Security
Administration may not use the ``X'' gender designation in the TSA
PreCheck advanced security program. The Administrator may permit
applicants to and participants in such program to select from only
``Male'' or ``Female''.
(b) Definition.--The terms ``male'' and ``female'' mean the
biological classification of male and female sex in the context of
reproductive potential or capacity, as indicated by sex chromosomes,
naturally occurring sex hormones, gonads, and nonambiguous internal and
external genitalia present at birth.
<all>
</pre></body></html>
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118HR3103 | Defending the Human Rights of Palestinian Children and Families Living Under Israeli Military Occupation Act | [
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... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3103 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3103
To promote and protect the human rights of Palestinians living under
Israeli military occupation, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. McCollum (for herself, Mr. Beyer, Ms. Pressley, Ms. Tlaib, Mr.
Payne, Mrs. Watson Coleman, Ms. Omar, Mr. Grijalva, Mr. Bowman, Mr.
Pocan, Ms. Bush, Ms. Jayapal, Mr. Garcia of Illinois, Ms. Ocasio-
Cortez, Ms. Lee of California, Ms. Lee of Pennsylvania, and Mr. Evans)
introduced the following bill; which was referred to the Committee on
Foreign Affairs
_______________________________________________________________________
A BILL
To promote and protect the human rights of Palestinians living under
Israeli military occupation, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Defending the Human Rights of
Palestinian Children and Families Living Under Israeli Military
Occupation Act''.
SEC. 2. FINDINGS.
Congress finds the following:
(1) Approximately 3,100,000 Palestinians live in the West
Bank, of which around 42 percent are children under the age of
18 who have lived their entire lives under Israeli military
control.
(2) In the Israeli-occupied West Bank, there are two
separate and unequal legal systems, with Israeli military law
imposed on Palestinians and Israeli civilian law applied to
Israeli settlers.
(3) Children are entitled to special protections and due
process rights under international human rights law and
international humanitarian law.
(4) Israel has ratified the Convention on the Rights of the
Child, which states--
(A) in article 37(a), that ``no child shall be
subject to torture or other cruel, inhuman or degrading
treatment or punishment'';
(B) in article 37(b), that the arrest, detention or
imprisonment of a child ``shall be used only as a
measure of last resort and for the shortest appropriate
period of time'';
(C) in article 37(c), that ``every child deprived
of liberty shall be treated with humanity and respect
for the inherent dignity of the human person, and in a
manner which takes into account the needs of persons of
his or her age''; and
(D) in article 37(d), that ``[e]very child deprived
of his or her liberty shall have the right to prompt
access to legal and other appropriate assistance, as
well as the right to challenge the legality of the
deprivation of his or her liberty before a court or
other competent, independent and impartial authority,
and to a prompt decision on any such action''.
(5) The Government of Israel and its military detains
around 500 to 700 Palestinian children between the ages of 12
and 17 each year and prosecutes them before a military court
system that lacks basic and fundamental guarantees of due
process in violation of international standards.
(6) Israeli security forces detain children under the age
of 12 for interrogation for extended periods of time even
though the prosecution of children under 12 is prohibited by
Israeli military law.
(7) Save the Children released a report in 2020 based on a
survey of more than 470 children detained by Israeli forces in
the West Bank that found ``[a] majority reported they had
endured a distressing or violent arrest or detention, in most
cases at night; a coercive interrogation environment; physical
and emotional abuse in detention; and a denial of essential
services including an adequate education--all of which
constitute a breach of their rights enshrined in
international.''.
(8) The Israeli human rights organization HaMoked: Center
for the Defence of the Individual issued a report in October
2020 examining night arrests of Palestinian children by Israeli
forces in the West Bank finding that Israeli authorities
continue ``to send soldiers to arrest Palestinian teenage boys
at night as a measure of first resort for bringing them in for
interrogation. This injurious, traumatic practice leaves the
teenagers broken in body and soul, while thwarting the
possibility of a fair interrogation and almost guaranteeing a
conviction.'' In January 2023, new data compiled by HaMoked
showed ``show that in 2022, Israel continued and even
exacerbated its unlawful practice of night arrests of
children'' concluding that ``the majority of these arrests are
nothing short of arbitrary arrests.''.
(9) The Israeli human rights organization B'Tselem issued a
report in 2018 describing the treatment of Palestinian children
under Israeli military occupation: ``Every year, hundreds of
Palestinian minors undergo the same scenario. Israeli security
forces pick them up on the street or at home in the middle of
the night, then handcuff and blindfold them and transport them
to interrogation, often subjecting them to violence en route.
Exhausted and scared--some having spent a long time in transit,
some having been roused from sleep, some having had nothing to
eat or drink for hours--the minors are then interrogated. They
are completely alone in there, cut off from the world, without
any adult they know and trust by their side, and without having
been given a chance to consult with a lawyer before the
interrogation. The interrogation itself often involves threats,
yelling, verbal abuse and sometimes physical violence. Its sole
purpose is to get the minors to confess or provide information
about others.''.
(10) The 2016 Annual Report on Human Rights Practices of
the State Department noted the renewed use of ``administrative
detention'' against Palestinians, including children, a
practice in which a detainee may be imprisoned indefinitely,
without charge or trial, by the order of a military commander
or other government official.
(11) The nongovernmental organization Defense for Children
International-Palestine (DCIP) documented 60 Palestinian
children detained and placed in administrative detention, or
detention without charge or trial, since Israel renewed the
practice against minors in October 2015.
(12) DCIP collected affidavits from 766 West Bank children
who were detained by Israeli forces from the West Bank between
2016 and 2022, and concluded that--
(A) 75 percent of the children endured physical
violence following arrest;
(B) under Israeli military law, children do not
have the right to a lawyer during interrogation;
(C) 97 percent of the children did not have a
parent present during their interrogation;
(D) 66 percent of the children were not properly
informed of their rights by Israeli police;
(E) 86 percent of children were not informed of the
reason for arrest;
(F) 59 percent of children were arrested from their
homes during nighttime military incursions;
(G) interrogators used stress positions, threats of
violence, and isolation to coerce confessions from
detained children; and
(H) 178 children were held in pre-trial, pre-charge
isolation for interrogation purposes for an average
period of 16.5 days.
(13) Amendments to Israeli military law concerning the
detention of Palestinian children have had little or no impact
on the treatment of children during the first 24 to 48 hours
after an arrest, when the majority of their ill treatment
occurs.
(14) Israel's drive to perpetuate its control over the
occupied West Bank results in other serious violations of
international law, including the unlawful demolition of
Palestinian homes and the forcible transfer of Palestinian
civilians.
(15) The destruction of property in an occupied territory
is prohibited under international humanitarian law, unless
absolutely necessary for military operations.
(16) Palestinian properties are subject to demolition or
confiscation as part of Israeli-imposed planning and zoning
regimes in Area C and East Jerusalem and other parts of the
West Bank, and subject to punitive demolition following an
incident of violence against Israeli military and police
forces, settlers, or other civilians.
(17) Palestinians are required to obtain Israeli-issued
building permits and the lack of permits is typically cited as
the reason for demolitions or confiscations, even though, due
to the restrictive and discriminatory Israeli planning regime,
Palestinians are overwhelmingly denied permits and therefore
forced to build without the necessary permits.
(18) Between 2016 to 2020, 99.1 percent of the 2,550
building permit applications that were submitted by
Palestinians in Area C were rejected, with only 24 applications
approved.
(19) Palestinians are allowed to build in less than one
percent of Area C and in only about 15 percent of East
Jerusalem.
(20) Palestinian homes and structures located in Area C and
East Jerusalem and other parts of the West Bank are under
constant threat of demolition from the moment construction
begins and are often demolished with little notice.
(21) The United Nations Office for the Coordination for
Humanitarian Affairs (OCHA) reported between April 15, 2021,
and March 30, 2023, Israeli authorities demolished or seized
1,840 Palestinian structures across the West Bank, including
East Jerusalem, resulting in the displacement of 2,170 people,
including 1,104 Palestinian children.
(22) OCHA noted that one of the major trends observed in
2020 was the increased use of military orders and other
legislation, preventing or limiting the ability of Palestinians
to legally challenge the targeting of their homes and sources
of livelihood in Israeli courts.
(23) In 2018, Israeli forces issued Military Order 1797
that expedites the demolition of new structures that do not
have a permit, authorizing the demolition within 96 hours of
delivering a demolition order.
(24) OCHA reported in March 2023 that 58 schools in the
West Bank, which are attended by 6,500 children, are subject to
demolition orders issued by Israeli authorities.
(25) Demolitions clearly and deliberately undermine the
prospects for a just and lasting peace between Israel and the
Palestinians and create oppressive conditions that leave
Palestinians with no other choice than to leave their homes and
lands.
(26) Punitive demolitions function as an act of collective
punishment against the families of suspects or perpetrators and
create insecurity in the surrounding communities. Though
Israeli authorities maintain that punitive demolitions are a
means of achieving security, Israel does not demolish the homes
of Israelis who have committed crimes against Palestinians as
part of its policy.
(27) The restrictive and discriminatory Israeli planning
regime undermines rights and guarantees in international human
rights law and international humanitarian law and facilitates
unlawful acts and policies, including destruction of property
and forcible transfer of civilians, expropriation of land and
natural resources, illegal settlement expansion, and further
annexation of Palestinian land.
(28) Jewish-only settlements established by the Government
of Israel in the occupied West Bank, including East Jerusalem,
have no legal validity and constitute a flagrant violation
under international law and a major obstacle to the achievement
of a just and lasting peace between Israel and the
Palestinians.
(29) Unilateral annexation of any part of the occupied West
Bank by the Government of Israel is a flagrant violation of
international law and a prohibited act of aggression under
Article 2(4) of the United Nations Charter.
(30) Israel is the largest cumulative recipient of United
States foreign assistance since World War II, receiving from
the United States $158,000,000,000 (current, or noninflation-
adjusted, dollars) in bilateral assistance and missile defense
funding.
(31) In 2016, the United States and Israeli governments
signed a new 10-year Memorandum of Understanding (MOU) on
military assistance, covering fiscal year 2019 to fiscal year
2028.
(32) Under the terms of the MOU, the United States pledges
to provide $38,000,000,000 in military assistance
($33,000,000,000 in Foreign Military Financing grants plus
$5,000,000,000 in missile defense appropriations) to Israel,
replacing a previous $30,000,000,000, 10-year agreement that
ran through fiscal year 2018.
(33) The Consolidated Appropriations Act, 2023 (Public Law
117-328), provides Israel with $3,300,000,000 in Foreign
Military Financing (FMF), including $775,300,000 million
designated specifically for procurements in Israel, commonly
referred to as ``offshore procurements'', and $500,000,000 in
missile defense funding.
(34) The sale and export of United States-origin defense
articles and defense services to foreign countries are governed
by an extensive set of laws, regulations, policies, and
procedures, including authorizations and reporting requirements
in both the National Defense Authorization Acts and in the
State Department, Foreign Operations, and Related Programs
Appropriations Acts.
(35) Congress has authorized sales to the Government of
Israel under the Foreign Assistance Act of 1961 (22 U.S.C.
2151, et seq.) and the Arms Export Control Act of 1976 (22
U.S.C. 2751, et seq.).
(36) The Arms Export Control Act of 1976 (22 U.S.C. 271, et
seq.) generally prohibits foreign countries from using funds
made available under the Act for procurement outside the United
States. However, each year since 1991, varying amounts of FMF
grants have been designated for offshore procurements in
Israel.
(37) In 1991, the Government Accountability Office,
formerly the General Accounting Office, issued a report to the
Committee on Foreign Relations of the Senate examining United
States military funding to Israel, which specifically audited
Israel's expenditures for offshore procurements and assessed
whether the executive branch had complied with legislative
requirements.
SEC. 3. SENSE OF CONGRESS.
It is the sense of Congress that--
(1) actions by the Government of Israel in the occupied
West Bank, including the detention and prosecution of
Palestinian children in the Israeli military court system, the
seizure, appropriation, and destruction of Palestinian property
and forcible transfer of civilians, and further annexation of
Palestinian land in violation of international law and
internationally recognized standards of human rights--
(A) are contrary to the values of the American
people and the efforts of the United States to support
self-determination, human rights, and dignity for both
Palestinians and Israelis; and
(B) undermine efforts by the United States to
achieve a just and lasting peace between Israel and the
Palestinians;
(2) promoting human rights, human dignity, and democratic
rights for all Palestinians and Israelis are foreign policy
priorities of the United States; and
(3) the United States rejects any undemocratic system or
act of aggression in which Israel unilaterally exercises
permanent rule over a Palestinian people denied self-
determination and human rights.
SEC. 4. STATEMENT OF POLICY.
It is the policy of the United States not to support actions by the
Government of Israel involving--
(1) the military detention of Palestinian children in
violation of international law;
(2) the seizure, appropriation, and destruction of
Palestinian property or the forcible transfer of civilians in
the occupied West Bank in violation of international law; or
(3) further annexation of Palestinian land and property in
violation of international law.
SEC. 5. LIMITATION ON ASSISTANCE.
(a) Prohibition.--Notwithstanding any other provision of law, none
of the funds authorized to be appropriated or otherwise made available
for assistance to the Government of Israel may be obligated or expended
for any of the following:
(1) Supporting the military detention, interrogation,
abuse, or ill treatment of Palestinian children in violation of
international humanitarian law or to support the use against
Palestinian children of any of the following practices:
(A) Torture or cruel, inhumane, or degrading
treatment.
(B) Physical violence, including restraint in
stress positions.
(C) Hooding, sensory deprivation, death threats, or
other forms of psychological abuse.
(D) Incommunicado detention or solitary
confinement.
(E) Administrative detention, or imprisonment
without charge or trial, as described in section 2(10).
(F) Arbitrary detention.
(G) Denial of access to parents or legal counsel
during interrogations.
(H) Confessions obtained by force or coercion.
(2) Supporting the seizure, appropriation, or destruction
of Palestinian property and forcible transfer of civilians in
the Israeli-controlled and occupied West Bank in violation of
international humanitarian law.
(3) Deploying, or supporting the deployment of, personnel,
training, services, lethal materials, equipment, facilities,
logistics, transportation, or any other activity to territory
in the occupied West Bank to facilitate or support further
unilateral annexation by Israel of such territory in violation
of international humanitarian law.
(b) Certification.--Not later than September 30, 2023, and annually
thereafter, the Secretary of State shall submit to the Committee on
Appropriations and the Committee on Foreign Affairs of the House of
Representatives and the Committee on Appropriations and the Committee
on Foreign Relations of the Senate one of the following with respect to
the preceding fiscal year--
(1) a certification that none of the funds obligated or
expended in the previous fiscal year for assistance to the
Government of Israel have been used by such Government to
support personnel, training, lethal materials, equipment,
facilities, logistics, transportation, or any other activity
that supports or is associated with any of the activities
prohibited under subsection (a); or
(2) a certification that funds obligated or expended in the
previous fiscal year have supported or been associated with one
or more activities prohibited under subsection (a), along with
a report describing in detail the amount of such funds used by
the Government of Israel in violation of such subsection and
each activity supported by such funds.
SEC. 6. OVERSIGHT AND ADDITIONAL REPORTING.
The Secretary of State shall include, in each report required under
section 116 of the Foreign Assistance Act of 1961 (22 U.S.C. 2151n)--
(1) a description of the nature and extent of detention,
interrogation, abuse, or ill treatment of Palestinian children
by Israeli military forces or police in violation of
international humanitarian law;
(2) a description of the nature and extent of the seizure,
appropriation, or destruction of Palestinian property in the
Israeli-controlled and occupied West Bank by Israeli
authorities in violation of international humanitarian law; and
(3) a description of the nature and extent of Israeli
settlement activities, including an assessment of the
compliance of the Government of Israel with United Nations
Security Council Resolution 2334 (2016).
SEC. 7. GAO REPORT ON ISRAEL'S EXPENDITURES FOR OFFSHORE PROCUREMENT.
Not later than September 30, 2023, and annually thereafter, the
Comptroller General of the United States shall prepare and submit to
Congress a report that--
(1) identifies the specific programs and items funds for
offshore procurement in Israel have been allocated to,
including specific armed forces branches, units, and
contractors;
(2) assesses executive branch compliance with legislative
requirements governing offshore procurements in Israel;
(3) identifies, in detail, all end-use monitoring the
Government of Israel is subject to with respect to United
States-origin defense articles; and
(4) analyzes the effects of offshore procurements on
Israel's military budget and domestic economy since 1991,
including an assessment of the manner and extent to which these
funds have directly or indirectly supported illegal Israeli
settlement activity in the occupied West Bank.
<all>
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118HR3104 | Helping Our Heroes Act | [
[
"M001221",
"Rep. Molinaro, Marcus J. [R-NY-19]",
"sponsor"
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[
"K000382",
"Rep. Kuster, Ann M. [D-NH-2]",
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[
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] | <p> <strong>Helping Our Heroes Act </strong></p> <p>This bill allows a charitable tax deduction for the service of bona fide volunteer firefighters and emergency medical and rescue personnel. The amount of the deduction is $20 for each hour of service provided by such personnel, limited to 300 hours with respect to any individual in a taxable year. The deduction is available to taxpayers who do not otherwise itemize their deductions.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3104 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3104
To amend the Internal Revenue Code of 1986 to provide a charitable
deduction for the service of volunteer firefighters and emergency
medical and rescue personnel.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Molinaro (for himself and Ms. Kuster) introduced the following
bill; which was referred to the Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to provide a charitable
deduction for the service of volunteer firefighters and emergency
medical and rescue personnel.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Helping Our Heroes Act''.
SEC. 2. ALLOWANCE OF CHARITABLE DEDUCTION FOR THE SERVICE OF VOLUNTEER
FIREFIGHTERS AND EMERGENCY MEDICAL AND RESCUE PERSONNEL.
(a) In General.--Section 170 of the Internal Revenue Code of 1986
is amended by striking subsection (p) and inserting the following new
subsection:
``(p) Service of Volunteer Firefighters and Emergency Medical
Personnel Treated as Charitable Contribution.--
``(1) In general.--Each hour of qualified services rendered
by an individual as a bona fide volunteer shall be treated for
purposes of this section as a contribution of $20 to the
organization to which such services are rendered.
``(2) Limitation.--Not more than 300 hours of qualified
services shall be taken into account under paragraph (1) with
respect to any individual for any taxable year.
``(3) Definitions.--For purposes of this subsection--
``(A) Bona fide volunteer.--An individual shall be
treated as a bona fide volunteer if the only
compensation received by such individual for performing
qualified services is in the form of--
``(i) reimbursement for (or a reasonable
allowance for) reasonable expenses incurred in
the performance of such services, or
``(ii) reasonable benefits (including
length of service awards), and fees for such
services, customarily paid by eligible
employers in connection with the performance of
such services by volunteers.
``(B) Qualified services.--The term `qualified
services' means fire fighting and prevention services,
emergency medical and rescue services, ambulance
services, civil air patrol, and search and rescue
services. Such term shall include all training and
training-related activities related to the services
described in the preceding sentence which are required
or authorized by the organization referred to in
paragraph (1).
``(4) Verification.--A contribution to which this
subsection applies shall be verified in such manner as the
Secretary may provide.
``(5) Inflation adjustment.--In the case of any taxable
year beginning in a calendar year after 2024, the $20 amount
contained in paragraph (1) shall be increased by an amount
equal to--
``(A) such dollar amount, multiplied by
``(B) the cost-of-living adjustment determined
under section 1(f)(3) for the calendar year in which
the taxable year begins determined by substituting
`calendar year 2023' for `calendar year 2016' in
subparagraph (A)(ii) thereof.
Any increase determined under the preceding sentence which is
not a multiple of $1 shall be rounded to the nearest multiple
of $1.
``(6) Exclusion for members of congress.--Services rendered
during any period with respect to which such individual is a
Member of Congress (as defined in section 2106 of title 5,
United States Code) shall not be treated as qualified services
for purposes of this subsection.''.
(b) Allowance of Deduction to Individuals Who Do Not Elect To
Itemize Deductions.--Section 63(b) of such Code is amended by striking
paragraph (4) and inserting the following new paragraph:
``(4) so much of the deduction allowed under section 170
for the taxable year as does not exceed the amount of such
deduction which would be determined if only contributions
treated as made under section 170(p) by reason of services
rendered during such taxable year were taken into account.''.
(c) Effective Date.--The amendments made by this section shall
apply to taxable years beginning after December 31, 2023.
<all>
</pre></body></html>
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118HR3105 | To amend the Internal Revenue Code of 1986 to provide special rules for purposes of determining if financial guaranty insurance companies are qualifying insurance corporations under the passive foreign investment company rules. | [
[
"M001160",
"Rep. Moore, Gwen [D-WI-4]",
"sponsor"
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[
"S001172",
"Rep. Smith, Adrian [R-NE-3]",
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] | <p>This bill sets forth special tax rules for determining whether financial guaranty insurance companies are qualifying insurance corporations under the passive foreign investment company rules.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3105 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3105
To amend the Internal Revenue Code of 1986 to provide special rules for
purposes of determining if financial guaranty insurance companies are
qualifying insurance corporations under the passive foreign investment
company rules.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. Moore of Wisconsin (for herself and Mr. Smith of Nebraska)
introduced the following bill; which was referred to the Committee on
Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to provide special rules for
purposes of determining if financial guaranty insurance companies are
qualifying insurance corporations under the passive foreign investment
company rules.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. TREATMENT OF FINANCIAL GUARANTY INSURANCE COMPANIES AS
QUALIFYING INSURANCE CORPORATIONS UNDER PASSIVE FOREIGN
INVESTMENT COMPANY RULES.
(a) In General.--Section 1297(f)(3) of the Internal Revenue Code of
1986 is amended by adding at the end the following new subparagraph:
``(C) Special rules for financial guaranty
insurance companies.--
``(i) In general.--Notwithstanding
subparagraphs (A)(ii) and (B), the applicable
insurance liabilities of a financial guaranty
insurance company shall include its unearned
premium reserves if--
``(I) such company is prohibited
under generally accepted accounting
principles from reporting on its
applicable financial statements
reserves for losses and loss adjustment
expenses with respect to a financial
guaranty insurance or reinsurance
contract except to the extent that
losses and loss adjustment expenses are
expected to exceed the unearned premium
reserves on the contract,
``(II) the applicable financial
statement of such company reports
financial guaranty exposure of at least
15-to-1 or State or local bond exposure
of at least 9-to-1 (8-to-1 in the case
of a taxable year of such company which
ends on or before December 31, 2018),
and
``(III) such company includes in
its insurance liabilities only its
unearned premium reserves relating to
insurance written or assumed that is
within the single risk limits set forth
in subsection (D) of section 4 of the
Financial Guaranty Insurance Guideline
(modified by using total shareholder's
equity as reported on the applicable
financial statement of the company
rather than aggregate of the surplus to
policyholders and contingency
reserves).
``(ii) Application of alternative facts and
circumstances test.--A financial guaranty
insurance company shall be treated as
satisfying the requirements of paragraph
(2)(B).
``(iii) Financial guaranty insurance
company.--For purposes of this subparagraph,
the term `financial guaranty insurance company'
means any insurance company the sole business
of which is writing or reinsuring financial
guaranty insurance (as defined in subsection
(A) of section 1 of the Financial Guaranty
Insurance Guideline) which is permitted under
subsection (B) of section 4 of such Guideline.
``(iv) Financial guaranty exposure.--For
purposes of this subparagraph, the term
`financial guaranty exposure' means the ratio
of--
``(I) the net debt service
outstanding insured or reinsured by the
company that is within the single risk
limits set forth in the Financial
Guaranty Insurance Guideline (as
reported on such company's applicable
financial statement), to
``(II) the company's total assets
(as so reported).
``(v) State or local bond exposure.--For
purposes of this subparagraph, the term `State
or local bond exposure' means the ratio of--
``(I) the net unpaid principal of
State or local bonds (as defined in
section 103(c)(1)) insured or reinsured
by the company that is within the
single risk limits set forth in the
Financial Guaranty Insurance Guideline
(as reported on such company's
applicable financial statement), to
``(II) the company's total assets
(as so reported).
``(vi) Financial guaranty insurance
guideline.--For purposes of this subparagraph--
``(I) In general.--The term
`Financial Guaranty Insurance
Guideline' means the October 2008 model
regulation that was adopted by the
National Association of Insurance
Commissioners on December 4, 2007.
``(II) Determinations made by
secretary.--The determination of
whether any provision of the Financial
Guaranty Insurance Guideline has been
satisfied shall be made by the
Secretary.''.
(b) Reporting of Certain Items.--Section 1297(f)(4) of such Code is
amended by adding at the end the following new subparagraph:
``(C) Clarification that certain items on
applicable financial statement be separately reported
with respect to corporation.--An amount described in
paragraph (1)(B) or clause (i)(II), (i)(III), (iv)(I),
(iv)(II), (v)(I), or (v)(II) of paragraph (3)(C) shall
be treated as reported on an applicable financial
statement for purposes of this section if--
``(i) such amount is separately reported on
such statement with respect to the corporation
referred to in paragraph (1), or
``(ii) such amount is separately determined
for purposes of calculating an amount which is
reported on such statement.
``(D) Authority of secretary to require
reporting.--
``(i) In general.--Each United States
person who owns an interest in a specified non-
publicly traded foreign corporation and who
takes the position that such corporation is not
a passive foreign investment company shall
report to the Secretary such information with
respect to such corporation as the Secretary
may require.
``(ii) Specified non-publicly traded
foreign corporation.--For purposes of this
subparagraph, the term `specified non-publicly
traded foreign corporation' means any foreign
corporation--
``(I) which would be a passive
foreign investment company if
subsection (b)(2)(B) did not apply, and
``(II) no interest in which is
traded on an established securities
market.''.
(c) Effective Date.--
(1) In general.--Except as otherwise provided in this
subsection, the amendments made by this section shall take
effect as if included in section 14501 of Public Law 115-97.
(2) Reporting.--The amendment made by subsection (b) shall
apply to reports made after the date of the enactment of this
Act.
<all>
</pre></body></html>
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118HR3106 | Preventing Deepfakes of Intimate Images Act | [
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... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3106 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3106
To prohibit the disclosure of intimate digital depictions, and for
other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Morelle (for himself and Ms. Ross) introduced the following bill;
which was referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To prohibit the disclosure of intimate digital depictions, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Preventing Deepfakes of Intimate
Images Act''.
SEC. 2. INTIMATE DIGITAL DEPICTIONS.
The Violence Against Women Act Reauthorization Act of 2022 is
amended by inserting after section 1309 the following:
``SEC. 1309A. DISCLOSURE OF INTIMATE DIGITAL DEPICTIONS.
``(a) Definitions.--In this section:
``(1) Consent.--The term `consent' has the meaning given
such term in section 1309.
``(2) Depicted individual.--The term `depicted individual'
means an individual who, as a result of digitization or by
means of digital manipulation, appears in whole or in part in
an intimate digital depiction and who is identifiable by virtue
of the person's face, likeness, or other distinguishing
characteristic, such as a unique birthmark or other
recognizable feature, or from information displayed in
connection with the digital depiction.
``(3) Digital depiction.--The term `digital depiction'
means a realistic visual depiction, as that term is defined in
section 2256(5) of title 18, United States Code, of an
individual that has been created or altered using digital
manipulation.
``(4) Disclose.--The term `disclose' has the meaning given
such term in section 1309.
``(5) Intimate digital depiction.--The term `intimate
digital depiction' means a digital depiction of an individual
that has been created or altered using digital manipulation and
that depicts--
``(A) the uncovered genitals, pubic area, anus, or
postpubescent female nipple of an identifiable
individual;
``(B) the display or transfer of bodily sexual
fluids--
``(i) onto any part of the body of an
identifiable individual; or
``(ii) from the body of an identifiable
individual; or
``(C) an identifiable individual engaging in
sexually explicit conduct.
``(6) Sexually explicit conduct.--The term `sexually
explicit conduct' has the meaning given the term in
subparagraphs (A) and (B) of section 2256(2) of title 18,
United States Code.
``(b) Right of Action.--
``(1) In general.--Except as provided in subsection (e), an
individual who is the subject of an intimate digital depiction
that is disclosed, in or affecting interstate or foreign
commerce or using any means or facility of interstate or
foreign commerce, without the consent of the individual, where
such disclosure was made by a person who knows that, or
recklessly disregards whether, the individual has not consented
to such disclosure, may bring a civil action against that
person in an appropriate district court of the United States
for relief as set forth in subsection (d).
``(2) Rights on behalf of certain individuals.--In the case
of an individual who have not attained 18 years of age or are
incompetent, incapacitated, or deceased, the legal guardian of
the individual or representative of the individual's estate,
another family member, or any other person appointed as
suitable by the court, may assume the individual's rights under
this section, but in no event shall the defendant be named as
such representative or guardian.
``(c) Consent.--For purposes of an action under subsection (b)--
``(1) an individual's consent to the creation of the
intimate digital depiction shall not establish that the person
consented to its disclosure; and
``(2) consent shall be deemed validly given only if--
``(A) it is set forth in an agreement written in
plain language signed knowingly and voluntarily by the
depicted individual; and
``(B) it includes a general description of the
intimate digital depiction and, if applicable, the
audiovisual work into which it will be incorporated.
``(d) Relief.--
``(1) In general.--
``(A) Damages.--In a civil action filed under this
section, an individual may recover any of the
following:
``(i) An amount equal to the monetary gain
made by the defendant from the creation,
development, or disclosure of the intimate
digital depiction.
``(ii) Either of the following:
``(I) The actual damages sustained
by the individual as a result of the
intimate digital depiction, including
damages for emotional distress.
``(II) Liquidated damages in the
amount of $150,000.
``(iii) Punitive damages.
``(iv) The cost of the action, including
reasonable attorney's fees and other litigation
costs reasonably incurred.
``(B) Equitable relief.--In a civil action filed
under this section, a court may, in addition to any
other relief available at law, order equitable relief,
including a temporary restraining order, a preliminary
injunction, or a permanent injunction ordering the
defendant to cease display or disclosure of the
intimate digital depiction.
``(2) Preservation of anonymity.--In ordering relief under
this subsection, the court may grant injunctive relief
maintaining the confidentiality of a plaintiff using a
pseudonym.
``(e) Exceptions.--An identifiable individual may not bring an
action for relief under this section relating to--
``(1) a disclosure made in good faith--
``(A) to or by a law enforcement officer or agency
in the course of reporting or investigating--
``(i) unlawful activity; or
``(ii) unsolicited or unwelcome conduct; or
``(B) as part of a legal proceeding;
``(2) a matter of legitimate public concern or public
interest, except that it shall not be considered a matter of
legitimate public interest or public concern solely because the
depicted individual is a public figure; or
``(3) a disclosure reasonably intended to assist the
identifiable individual.
``(f) In Camera.--A court may authorize an in camera proceeding
under this section.
``(g) Disclaimers.--It shall not be a defense to an action under
this section that there is a disclaimer stating that the intimate
digital depiction of the depicted individual was unauthorized or that
the depicted individual did not participate in the creation or
development of the material.
``(h) Limitations.--For purposes of this section, a provider of an
interactive computer service shall not be held liable on account of--
``(1) any action voluntarily taken in good faith to
restrict access to or availability of intimate digital
depictions; or
``(2) any action taken to enable or make available to
information content providers or other persons the technical
means to restrict access to intimate digital depictions.''.
SEC. 3. CRIMINAL ACTION.
(a) In General.--Chapter 110 of title 18, United States Code, is
amended by inserting after section 2252C the following:
``Sec. 2252D. Intimate digital depictions
``(a) Offense.--Whoever, in or affecting interstate or foreign
commerce, discloses or threatens to disclose an intimate digital
depiction--
``(1) with the intent to harass, annoy, threaten, alarm, or
cause substantial harm to the finances or reputation of the
depicted individual; or
``(2) with actual knowledge that, or reckless disregard for
whether, such disclosure or threatened disclosure will cause
physical, emotional, reputational, or economic harm to the
depicted individual,
shall be punished as provided under subsection (b).
``(b) Penalty.--Any person who commits an offense under subsection
(a) shall be--
``(1) fined under this title, imprisoned for not more than
2 years, or both; or
``(2) fined under this title, imprisoned for not more than
10 years, or both, in the case of a violation in which the
creation, reproduction, or distribution of the intimate digital
depiction could be reasonably expected to--
``(A) affect the conduct of any administrative,
legislative, or judicial proceeding of a Federal,
State, local, or Tribal government agency, including
the administration of an election or the conduct of
foreign relations; or
``(B) facilitate violence.
``(c) Disclaimers.--It shall not be a defense to an action under
this section that there is a disclaimer stating that the intimate
digital depiction of the depicted individual was unauthorized or that
the depicted individual did not participate in the creation or
development of the material.
``(d) Limitations.--For purposes of this section, a provider of an
interactive computer service shall not be held liable on account of--
``(1) any action voluntarily taken in good faith to
restrict access to or availability of intimate digital
depictions; or
``(2) any action taken to enable or make available to
information content providers or other persons the technical
means to restrict access to intimate digital depictions.
``(e) Definitions.--In this section:
``(1) Consent.--The term `consent' has the meaning given
such term in section 1309 of the Violence Against Women Act
Reauthorization Act of 2022.
``(2) Depicted individual.--The term `depicted individual'
means an individual who, as a result of digitization or by
means of digital manipulation, appears in whole or in part in
an intimate digital depiction and who is identifiable by virtue
of the person's face, likeness, or other distinguishing
characteristic, such as a unique birthmark or other
recognizable feature, or from information displayed in
connection with the digital depiction.
``(3) Digital depiction.--The term `digital depiction'
means a realistic visual depiction, as that term is defined in
section 2256(5), of an individual that has been created or
altered using digital manipulation.
``(4) Disclose.--The term `disclose' has the meaning given
such term in section 1309 of the Violence Against Women Act
Reauthorization Act of 2022.
``(5) Intimate digital depiction.--The term `intimate
digital depiction' means a digital depiction of an individual
that has been created or altered using digital manipulation and
that depicts--
``(A) the uncovered genitals, pubic area, anus, or
postpubescent female nipple of an identifiable
individual;
``(B) the display or transfer of bodily sexual
fluids--
``(i) onto any part of the body of an
identifiable individual; or
``(ii) from the body of an identifiable
individual; or
``(C) an identifiable individual engaging in
sexually explicit conduct.
``(6) Sexually explicit conduct.--The term `sexually
explicit conduct' has the meaning given the term in
subparagraphs (A) and (B) of section 2256(2).''.
(b) Clerical Amendment.--The table of sections for chapter 110 of
title 18, United States Code is amended by inserting after the item
relating to section 2252C the following new item:
``2252D. Intimate digital depictions.''.
<all>
</pre></body></html>
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118HR3107 | Improving Outdoor Recreation Coordination Act | [
[
"N000191",
"Rep. Neguse, Joe [D-CO-2]",
"sponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3107 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3107
To direct the Secretary of the Interior to establish the Federal
Interagency Council on Outdoor Recreation.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Neguse introduced the following bill; which was referred to the
Committee on Natural Resources, and in addition to the Committee on
Agriculture, for a period to be subsequently determined by the Speaker,
in each case for consideration of such provisions as fall within the
jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To direct the Secretary of the Interior to establish the Federal
Interagency Council on Outdoor Recreation.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Improving Outdoor Recreation
Coordination Act''.
SEC. 2. FEDERAL INTERAGENCY COUNCIL ON OUTDOOR RECREATION.
(a) Definitions.--Section 200102 of title 54, United States Code,
is amended--
(1) by redesignating paragraphs (1) and (2) as paragraphs
(4) and (5) respectively; and
(2) by inserting before paragraph (4), as so redesignated,
the following:
``(1) Council.--The term `Council' means the Federal
Interagency Council on Outdoor Recreation established under
section 200104.
``(2) Federal land management agency.--The term `Federal
land management agency' has the meaning given the term in
section 802 of the Federal Lands Recreation Enhancement Act (16
U.S.C. 6801).
``(3) Federal recreational lands and waters.--The term
`Federal recreational lands and waters' has the meaning given
the term in section 802 of the Federal Lands Recreation
Enhancement Act (16 U.S.C. 6801).''.
(b) Establishment of Council.--Section 200104 of title 54, United
States Code, is amended to read as follows:
``Sec. 200104. Federal Interagency Council on Outdoor Recreation
``(a) Establishment.--The Secretary shall establish an interagency
council, to be known as the `Federal Interagency Council on Outdoor
Recreation'.
``(b) Composition.--
``(1) In general.--The Council shall be composed of
representatives of each of the following agencies, to be
appointed by the head of the respective agency:
``(A) The National Park Service.
``(B) The Bureau of Land Management.
``(C) The United States Fish and Wildlife Service.
``(D) The Bureau of Indian Affairs.
``(E) The Bureau of Reclamation.
``(F) The Forest Service.
``(G) The Corps of Engineers.
``(H) The National Marine Fisheries Service.
``(2) Additional participants.--In addition to the members
of the Council appointed under paragraph (1), the Secretary may
invite participation in the Council's meetings or other
activities from representatives of the following:
``(A) The Council on Environmental Quality.
``(B) The Natural Resources Conservation Service.
``(C) Rural development programs of the Department
of Agriculture.
``(D) The National Center for Chronic Disease
Prevention and Health Promotion.
``(E) The Environmental Protection Agency.
``(F) The Department of Transportation, including
the Federal Highway Administration.
``(G) The Tennessee Valley Authority.
``(H) The Department of Commerce, including--
``(i) the Bureau of Economic Analysis;
``(ii) the National Oceanic and Atmospheric
Administration;
``(iii) the National Travel and Tourism
Office; and
``(iv) the Economic Development
Administration.
``(I) The Federal Energy Regulatory Commission.
``(J) An applicable State agency or office.
``(K) An applicable agency or office of a local
government.
``(3) State coordination.--In determining additional
participants under this subsection, the Secretary shall seek to
ensure that States are invited and represented in the Council's
meetings or other activities.
``(4) Leadership.--The leadership of the Council shall
rotate annually among the Council members appointed under
paragraph (1), or as otherwise determined by the Secretary in
consultation with the Secretaries of Agriculture, Defense, and
Commerce.
``(5) Funding.--Notwithstanding section 708 of title VII of
division E of the Consolidated Appropriations Act, 2023 (Public
Law 117-328), the Council members appointed under paragraph (1)
may enter into agreements to share the management and
operational costs of the Council.
``(c) Coordination.--The Council shall meet as frequently as
appropriate for the purposes of coordinating--
``(1) recreation management policies across Federal
agencies, including implementation of the Federal Lands
Recreation Enhancement Act (16 U.S.C. 6801 et seq.);
``(2) the response by Federal land management agencies to
public health emergencies or other emergencies that result in
disruptions to, or closures of, Federal recreational lands and
waters;
``(3) the expenditure of funds relating to outdoor
recreation on Federal recreational lands and waters, including
funds made available under section 40804(b)(7) of the
Infrastructure Investment and Jobs Act (16 U.S.C. 6592a(b)(7));
``(4) the adoption and expansion of emerging technologies
on Federal recreational lands and waters;
``(5) research activities, including quantifying the
economic impacts of recreation;
``(6) dissemination to the public of recreation-related
information (including information relating to opportunities,
reservations, accessibility, and closures), in a manner that
ensures the recreation-related information is easily accessible
with modern communication devices;
``(7) the improvement of access to Federal recreational
lands and waters; and
``(8) the identification and engagement of partners outside
the Federal Government--
``(A) to promote outdoor recreation;
``(B) to facilitate collaborative management of
outdoor recreation; and
``(C) to provide additional resources relating to
enhancing outdoor recreation opportunities.
``(d) Effect.--Nothing in this section affects the authorities,
regulations, or policies of any Federal agency described in paragraph
(1) or (2) of subsection (b).''.
(c) Clerical Amendment.--The table of sections for chapter 2001 of
title 54, United States Code, is amended by striking the item relating
to section 200104 and inserting the following:
``200104. Federal Interagency Council on Outdoor Recreation''.
<all>
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118HR3109 | AIR Act | [
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"G00059... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3109 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3109
To direct the Secretary of Transportation to rescind certain no fly
zone restrictions, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Nehls (for himself, Mrs. Boebert, Mr. Biggs, Mr. Clyde, Ms. Greene
of Georgia, Mr. LaMalfa, Mr. Perry, and Mr. Steube) introduced the
following bill; which was referred to the Committee on Transportation
and Infrastructure
_______________________________________________________________________
A BILL
To direct the Secretary of Transportation to rescind certain no fly
zone restrictions, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Airlines Independent of Restrictions
Act'' or the ``AIR Act''.
SEC. 2. NO FLY ZONE REPEAL.
(a) In General.--Notwithstanding any other provision of law,
beginning on the date of enactment of this Act, the Secretary of
Transportation shall rescind the Federal Aviation Administration
Notices to Airmen FDC 4/3634 and FDC 4/3635 and stop maintaining the
restrictions imposed under such notices.
(b) Limitation of Authority.--
(1) In general.--Notwithstanding any other provision of law
and except as provided in paragraph (2), the Secretary of
Transportation may not issue a regulation or a Notice to Air
Missions to impose a no fly zone over the covered airspace for
a period longer than 30 days.
(2) Exception.--The Secretary may issue a regulation or
Notice to Air Missions to impose a no fly zone over the covered
airspace for a period longer than 30 days if the Secretary of
Transportation, the Secretary of Homeland Security, or the
Secretary of Defense transmits to Congress a justification
identifying the national security concerns and rationale for
imposing such a no fly zone of the covered airspace for longer
than 30 days.
(c) Covered Airspace Defined.--In this section, the term ``covered
airspace'' means the airspace covered under the no fly zone imposed
under the Federal Aviation Administration Notices to Airmen FDC 4/3634
and FDC 4/3635.
<all>
</pre></body></html>
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118HR311 | Cost Estimates Improvement Act | [
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... | <p><b>Cost Estimates Improvement Act</b></p> <p>This bill requires cost estimates prepared by the Congressional Budget Office or the Joint Committee on Taxation to include (1) the cost of servicing the public debt; and (2) a list of any federal agencies, programs, and initiatives with fragmented, overlapping, or duplicative goals or activities covered by the legislation.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 311 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 311
To amend the Congressional Budget Act of 1974 to provide that any
estimate prepared by the Congressional Budget Office or the Joint
Committee on Taxation shall include costs relating to servicing the
public debt, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 12, 2023
Mr. Cloud (for himself, Mr. Biggs, Mr. Donalds, Mr. Duncan, Mr.
LaMalfa, Mr. McClintock, Mr. Norman, Mr. Perry, Mr. Westerman, Mr.
Palmer, Mr. Bishop of North Carolina, Mr. Baird, and Mr. Carter of
Georgia) introduced the following bill; which was referred to the
Committee on Rules, and in addition to the Committee on the Budget, for
a period to be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To amend the Congressional Budget Act of 1974 to provide that any
estimate prepared by the Congressional Budget Office or the Joint
Committee on Taxation shall include costs relating to servicing the
public debt, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Cost Estimates Improvement Act''.
SEC. 2. CBO AND JCT ESTIMATES TO INCLUDE DEBT SERVICING COSTS.
(a) In General.--The Congressional Budget and Impoundment Control
Act of 1974 (2 U.S.C. 621 et seq.) is amended by inserting after
section 406 the following:
``estimates to include debt servicing costs and a list of duplicative
activities
``Sec. 407. (a) Cost of Debt Service.--Any estimate prepared by
the Director of the Congressional Budget Office under section 402, and
any estimate prepared by the Joint Committee on Taxation, shall
include, to the extent practicable, the costs (if any) of servicing the
public debt.
``(b) List of Duplicative Activities.--Any estimate prepared by the
Director of the Congressional Budget Office or the Joint Committee on
Taxation shall include a list of any Federal agencies, programs, and
initiatives with fragmented, overlapping, or duplicative goals or
activities covered by the legislation.''.
(b) Clerical Amendment.--The table of contents of such Act is
amended by inserting after the item relating to section 402 the
following:
``407. Estimates to include debt servicing costs and a list of
duplicative activities.''.
<all>
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118HR3110 | Bring Our Heroes Home Act | [
[
"P000614",
"Rep. Pappas, Chris [D-NH-1]",
"sponsor"
],
[
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"Rep. Fulcher, Russ [R-ID-1]",
"cosponsor"
],
[
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"Rep. Houlahan, Chrissy [D-PA-6]",
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]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3110 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3110
To provide for the creation of the Missing Armed Forces Personnel
Records Collection at the National Archives, to require the expeditious
public transmission to the Archivist and public disclosure of Missing
Armed Forces Personnel records, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Pappas (for himself, Mr. Fulcher, and Ms. Houlahan) introduced the
following bill; which was referred to the Committee on Oversight and
Accountability
_______________________________________________________________________
A BILL
To provide for the creation of the Missing Armed Forces Personnel
Records Collection at the National Archives, to require the expeditious
public transmission to the Archivist and public disclosure of Missing
Armed Forces Personnel records, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Bring Our Heroes Home Act''.
SEC. 2. FINDINGS, DECLARATIONS, AND PURPOSES.
(a) Findings and Declarations.--Congress finds and declares the
following:
(1) A vast number of records relating to Missing Armed
Forces Personnel have not been identified, located, or
transferred to the National Archives following review and
declassification. Only in the rarest cases is there any
legitimate need for continued protection of records pertaining
to Missing Armed Forces Personnel who have been missing for
decades.
(2) There has been insufficient priority placed on
identifying, locating, reviewing, or declassifying records
relating to Missing Armed Forces Personnel and then
transferring the records to the National Archives for public
access.
(3) Mandates for declassification set forth in multiple
Executive orders have been broadly written, loosely
interpreted, and often ignored by Federal agencies in
possession and control of records related to Missing Armed
Forces Personnel.
(4) No individual or entity has been tasked with oversight
of the identification, collection, review, and declassification
of records related to Missing Armed Forces Personnel.
(5) The interest, desire, workforce, and funding of Federal
agencies to assemble, review, and declassify records relating
to Missing Armed Forces Personnel have been lacking.
(6) All records of the Federal Government relating to
Missing Armed Forces Personnel should be preserved for
historical and governmental purposes and for public research.
(7) All records of the Federal Government relating to
Missing Armed Forces Personnel should carry a presumption of
declassification, and all such records should be disclosed
under this Act to enable the fullest possible accounting for
Missing Armed Forces Personnel.
(8) Legislation is necessary to create an enforceable,
independent, and accountable process for the public disclosure
of records relating to Missing Armed Forces Personnel.
(9) Legislation is necessary because section 552 of title
5, United States Code (commonly known as the ``Freedom of
Information Act''), as implemented by Federal agencies, has
prevented the timely public disclosure of records relating to
Missing Armed Forces Personnel.
(b) Purposes.--The purposes of this Act are--
(1) to provide for the creation of the Missing Armed Forces
Personnel Records Collection at the National Archives; and
(2) to require the expeditious public transmission to the
Archivist and public disclosure of Missing Armed Forces
Personnel records, subject to narrow exceptions, as set forth
in this Act.
SEC. 3. DEFINITIONS.
In this Act:
(1) Archivist.--The term ``Archivist'' means Archivist of
the United States.
(2) Collection.--The term ``Collection'' means the Missing
Armed Forces Personnel Records Collection established under
section 4(a).
(3) Executive agency.--The term ``Executive agency''--
(A) means an agency, as defined in section 552(f)
of title 5, United States Code; and
(B) includes any Executive department, military
department, Government corporation, Government
controlled corporation, or other establishment in the
executive branch of the Federal Government, including
the Executive Office of the President, any branch of
the Armed Forces, and any independent regulatory
agency.
(4) Executive branch missing armed forces personnel
record.--The term ``executive branch Missing Armed Forces
Personnel record'' means a Missing Armed Forces Personnel
record of an Executive agency, or information contained in such
a Missing Armed Forces Personnel record obtained by or
developed within the executive branch of the Federal
Government.
(5) Government office.--The term ``Government office''
means an Executive agency, the Library of Congress, or the
National Archives.
(6) Missing armed forces personnel.--
(A) Definition.--The term ``Missing Armed Forces
Personnel'' means 1 or more missing persons.
(B) Inclusions.--The term ``Missing Armed Forces
Personnel'' includes an individual who was a missing
person and whose status was later changed to ``missing
and presumed dead''.
(7) Missing armed forces personnel record.--The term
``Missing Armed Forces Personnel record'' means a record that
relates, directly or indirectly, to the loss, fate, or status
of Missing Armed Forces Personnel that--
(A) was created or made available for use by,
obtained by, or otherwise came into the custody,
possession, or control of--
(i) any Government office;
(ii) any Presidential library; or
(iii) any of the Armed Forces; and
(B) relates to 1 or more Missing Armed Forces
Personnel who became missing persons during the
period--
(i) beginning on December 7, 1941; and
(ii) ending on the date of enactment of
this Act.
(8) Missing person.--The term ``missing person'' has the
meaning given that term in section 1513 of title 10, United
States Code.
(9) National archives.--The term ``National Archives''--
(A) means the National Archives and Records
Administration; and
(B) includes any component of the National Archives
and Records Administration (including Presidential
archival depositories established under section 2112 of
title 44, United States Code).
(10) Official investigation.--The term ``official
investigation'' means a review, briefing, inquiry, or hearing
relating to Missing Armed Forces Personnel conducted by a
Presidential commission, committee of Congress, or agency,
regardless of whether it is conducted independently, at the
request of any Presidential commission or committee of
Congress, or at the request of any official of the Federal
Government.
(11) Originating body.--The term ``originating body'' means
the Government office or other initial source that created a
record or particular information within a record.
(12) Public interest.--The term ``public interest'' means
the compelling interest in the prompt public disclosure of
Missing Armed Forces Personnel records for historical and
governmental purposes, for public research, and for the purpose
of fully informing the people of the United States, most
importantly families of Missing Armed Forces Personnel, about
the fate of the Missing Armed Forces Personnel and the process
by which the Federal Government has sought to account for them.
(13) Record.--The term ``record'' has the meaning given the
term ``records'' in section 3301 of title 44, United States
Code.
(14) Review board.--The term ``Review Board'' means the
Missing Armed Forces Personnel Records Review Board established
under section 7.
SEC. 4. MISSING ARMED FORCES PERSONNEL RECORDS COLLECTION AT THE
NATIONAL ARCHIVES.
(a) Establishment of Collection.--Not later than 90 days after the
date of enactment of this Act, the Archivist shall--
(1) commence establishment of a collection of records to be
known as the ``Missing Armed Forces Personnel Records
Collection'';
(2) commence preparing the subject guidebook and index to
the Collection; and
(3) establish criteria and acceptable formats for Executive
agencies to follow when transmitting copies of Missing Armed
Forces Personnel Records to the Archivist, to include required
metadata.
(b) Regulations.--Not later than 90 days after the date of the
swearing in of the Board members, the Review Board shall promulgate
rules to establish guidelines and processes for the disclosure of
records contained in the Collection.
SEC. 5. REVIEW, IDENTIFICATION, TRANSMISSION TO THE NATIONAL ARCHIVES,
AND PUBLIC DISCLOSURE OF MISSING ARMED FORCES PERSONNEL
RECORDS BY GOVERNMENT OFFICES.
(a) In General.--
(1) Preparation.--As soon as practicable after the date of
enactment of this Act, and sufficiently in advance of the
deadlines established under this Act, each Government office
shall--
(A) identify and locate any Missing Armed Forces
Personnel records in the custody, possession, or
control of the Government office; and
(B) prepare for transmission to the Archivist in
accordance with the criteria and acceptable formats
established by the Archivist a copy of any Missing
Armed Forces Personnel records that have not previously
been transmitted to the Archivist by the Government
office.
(2) Certification.--Each Government office shall submit to
the Archivist, under penalty of perjury, a certification
indicating--
(A) whether the Government office has conducted a
thorough search for all Missing Armed Forces Personnel
records in the custody, possession, or control of the
Government office; and
(B) whether a copy of any Missing Armed Forces
Personnel record has not been transmitted to the
Archivist.
(3) Preservation.--No Missing Armed Forces Personnel record
shall be destroyed, altered, or mutilated in any way.
(4) Effect of previous disclosure.--Information that was
made available or disclosed to the public before the date of
enactment of this Act in a Missing Armed Forces Personnel
record may not be withheld, redacted, postponed for public
disclosure, or reclassified.
(5) Withheld and substantially redacted records.--For any
Missing Armed Forces Personnel record that is transmitted to
the Archivist which a Government office proposes to
substantially redact or withhold in full from public access,
the head of the Government office shall submit an unclassified
and publicly releasable report to the Archivist, the Review
Board, and each appropriate committee of the Senate and the
House of Representatives justifying the decision of the
Government office to substantially redact or withhold the
record by demonstrating that the release of information would
clearly and demonstrably be expected to cause an articulated
harm, and that the harm would be of such gravity as to outweigh
the public interest in access to the information.
(b) Review.--
(1) In general.--Not later than 180 days after the date of
enactment of this Act, each Government office shall, in
accordance with the criteria and acceptable formats established
by the Archivist--
(A) identify, locate, copy, and review each Missing
Armed Forces Personnel record in the custody,
possession, or control of the Government office for
transmission to the Archivist and disclosure to the
public or, if needed, review by the Review Board; and
(B) cooperate fully, in consultation with the
Archivist, in carrying out paragraph (3).
(2) Requirement.--The Review Board shall promulgate rules
for the disclosure of relevant records by Government offices
under paragraph (1).
(3) National archives records.--Not later than 180 days
after the date of enactment of this Act, the Archivist shall--
(A) locate and identify all Missing Armed Forces
Personnel records in the custody of the National
Archives as of the date of enactment of this Act that
remain classified, in whole or in part;
(B) notify a Government office if the Archivist
locates and identifies a record of the Government
office under subparagraph (A); and
(C) make each classified Missing Armed Forces
Personnel record located and identified under
subparagraph (A) available for review by Executive
agencies through the National Declassification Center
established under Executive Order 13526 or any
successor order.
(4) Records already public.--A Missing Armed Forces
Personnel record that is in the custody of the National
Archives on the date of enactment of this Act and that has been
publicly available in its entirety without redaction shall be
made available in the Collection without any additional review
by the Archivist, the Review Board, or any other Government
office under this Act.
(c) Transmission to the National Archives.--Each Government office
shall--
(1) not later than 180 days after the date of enactment of
this Act, commence transmission to the Archivist of copies of
the Missing Armed Forces Personnel records in the custody,
possession, or control of the Government office; and
(2) not later than 1 year after the date of enactment of
this Act, complete transmission to the Archivist of copies of
all Missing Armed Forces Personnel records in the possession or
control of the Government office.
(d) Periodic Review of Postponed Missing Armed Services Personnel
Records.--
(1) In general.--All Missing Armed Forces Personnel
records, or information within a Missing Armed Forces Personnel
record, the public disclosure of which has been postponed under
the standards under this Act shall be reviewed by the
originating body--
(A)(i) periodically, but not less than every 5
years, after the date on which the Review Board
terminates under section 7(o); and
(ii) at the direction of the Archivist; and
(B) consistent with the recommendations of the
Review Board under section 9(b)(3)(B).
(2) Contents.--
(A) In general.--A periodic review of a Missing
Armed Forces Personnel record, or information within a
Missing Armed Forces Personnel record, by the
originating body shall address the public disclosure of
the Missing Armed Forces Personnel record under the
standards under this Act.
(B) Continued postponement.--If an originating body
conducting a periodic review of a Missing Armed Forces
Personnel record, or information within a Missing Armed
Forces Personnel record, the public disclosure of which
has been postponed under the standards under this Act,
determines that continued postponement is required, the
originating body shall provide to the Archivist an
unclassified written description of the reason for the
continued postponement that the Archivist shall
highlight and make accessible on a publicly accessible
website administered by the National Archives.
(C) Scope.--The periodic review of postponed
Missing Armed Forces Personnel records, or information
within a Missing Armed Forces Personnel record, shall
serve the purpose stated in section 2(b)(2), to provide
expeditious public disclosure of Missing Armed Forces
Personnel records, to the fullest extent possible,
subject only to the grounds for postponement of
disclosure under section 6.
(D) Disclosure absent certification by president.--
Not later than 10 years after the date of enactment of
this Act, all Missing Armed Forces Personnel records,
and information within a Missing Armed Forces Personnel
record, shall be publicly disclosed in full, and
available in the Collection, unless--
(i) the head of the originating body,
Executive agency, or other Government office
recommends in writing that continued
postponement is necessary;
(ii) the written recommendation described
in clause (i)--
(I) is provided to the Archivist in
unclassified and publicly releasable
form not later than 180 days before the
date that is 10 years after the date of
enactment of this Act; and
(II) includes--
(aa) a justification of the
recommendation to postpone
disclosure with clear and
convincing evidence that the
identifiable harm is of such
gravity that it outweighs the
public interest in disclosure;
and
(bb) a recommended
specified time at which or a
specified occurrence following
which the material may be
appropriately disclosed to the
public under this Act;
(iii) the Archivist transmits all
recommended postponements and the
recommendation of the Archivist to the
President not later than 90 days before the
date that is 10 years after the date of
enactment of this Act; and
(iv) the President transmits to the
Archivist a certification indicating that
continued postponement is necessary and the
identifiable harm, as demonstrated by clear and
convincing evidence, is of such gravity that it
outweighs the public interest in disclosure not
later than the date that is 10 years after the
date of enactment of this Act.
SEC. 6. GROUNDS FOR POSTPONEMENT OF PUBLIC DISCLOSURE OF RECORDS.
(a) In General.--Disclosure to the public of a Missing Armed Forces
Personnel record or particular information in a Missing Armed Forces
Personnel record created after the date that is 25 years before the
date of the review of the Missing Armed Forces Personnel record by the
Archivist may be postponed subject to the limitations under this Act
only--
(1) if it pertains to--
(A) military plans, weapons systems, or operations;
(B) foreign government information;
(C) intelligence activities (including covert
action), intelligence sources or methods, or
cryptology;
(D) foreign relations or foreign activities of the
United States, including confidential sources;
(E) scientific, technological, or economic matters
relating to the national security;
(F) United States Government programs for
safeguarding nuclear materials or facilities;
(G) vulnerabilities or capabilities of systems,
installations, infrastructures, projects, plans, or
protection services relating to the national security;
or
(H) the development, production, or use of weapons
of mass destruction; and
(2) the threat posed by the public disclosure of the
Missing Armed Forces Personnel record or information is of such
gravity that it outweighs the public interest in disclosure.
(b) Older Records.--Disclosure to the public of a Missing Armed
Forces Personnel record or particular information in a Missing Armed
Forces Personnel record created on or before the date that is 25 years
before the date of the review of the Missing Armed Forces Personnel
record by the Archivist may be postponed subject to the limitations
under this Act only if, as demonstrated by clear and convincing
evidence--
(1) the release of the information would be expected to--
(A) reveal the identity of a confidential human
source, a human intelligence source, a relationship
with an intelligence or security service of a foreign
government or international organization, or a nonhuman
intelligence source, or impair the effectiveness of an
intelligence method currently in use, available for
use, or under development;
(B) reveal information that would impair United
States cryptologic systems or activities;
(C) reveal formally named or numbered United States
military war plans that remain in effect, or reveal
operational or tactical elements of prior plans that
are contained in such active plans; or
(D) reveal information, including foreign
government information, that would cause serious harm
to relations between the United States and a foreign
government, or to ongoing diplomatic activities of the
United States; and
(2) the threat posed by the public disclosure of the
Missing Armed Forces Personnel record or information is of such
gravity that it outweighs the public interest in disclosure.
(c) Exception.--Regardless of the age of a Missing Armed Forces
Personnel record--the date on which a Missing Armed Forces Personnel
record was created--disclosure to the public of information in the
Missing Armed Forces Personnel record may be postponed if--
(1) the public disclosure of the information would reveal
the name or identity of a living person who provided
confidential information to the United States and would pose a
substantial risk of harm to that person;
(2) the public disclosure of the information could
reasonably be expected to constitute an unwarranted invasion of
personal privacy, and that invasion of privacy is so
substantial that it outweighs the public interest; or
(3) the public disclosure of the information could
reasonably be expected to cause harm to the methods currently
in use or available for use by members of the Armed Forces to
survive, evade, resist, or escape.
SEC. 7. ESTABLISHMENT AND POWERS OF THE MISSING ARMED FORCES PERSONNEL
RECORDS REVIEW BOARD.
(a) Establishment.--There is established as an independent
establishment in the executive branch a board to be known as the
``Missing Armed Forces Personnel Records Review Board''.
(b) Membership.--
(1) Appointments.--The President shall appoint, by and with
the advice and consent of the Senate, 5 individuals to serve as
a member of the Review Board to ensure and facilitate the
review, transmission to the Archivist, and public disclosure of
Missing Armed Forces Personnel records.
(2) Qualifications.--The President shall appoint
individuals to serve as members of the Review Board--
(A) without regard to political affiliation;
(B) who are citizens of the United States of
integrity and impartiality;
(C) who are not an employee of an Executive agency
on the date of the appointment;
(D) who have high national professional reputation
in their fields who are capable of exercising the
independent and objective judgment necessary to the
fulfillment of their role in ensuring and facilitating
the identification, location, review, transmission to
the Archivist, and public disclosure of Missing Armed
Forces Personnel records;
(E) who possess an appreciation of the value of
Missing Armed Forces Personnel records to scholars, the
Federal Government, and the public, particularly
families of Missing Armed Forces Personnel;
(F) not less than 1 of whom is a professional
historian; and
(G) not less than 1 of whom is an attorney.
(3) Deadlines.--
(A) In general.--Not later than 60 days after the
date of enactment of this Act, the President shall
submit nominations for all members of the Review Board.
(B) Confirmation rejected.--If the Senate votes not
to confirm a nomination to serve as a member of the
Review Board, not later than 90 days after the date of
the vote the President shall submit the nomination of
an additional individual to serve as a member of the
Review Board.
(4) Consultation.--The President shall make nominations to
the Review Board after considering individuals recommended by
the American Historical Association, the Organization of
American Historians, the Society of American Archivists, the
American Bar Association, veterans' organizations, and
organizations representing families of Missing Armed Forces
Personnel.
(c) Security Clearances.--The appropriate departments, agencies,
and elements of the executive branch of the Federal Government shall
cooperate to ensure that an application by an individual nominated to
be a member of the Review Board, seeking security clearances necessary
to carry out the duties of the Review Board, is expeditiously reviewed
and granted or denied.
(d) Confirmation.--
(1) Hearings.--Not later than 30 days on which the Senate
is in session after the date on which not less than 3
individuals have been nominated to serve as members of the
Review Board, the Committee on Homeland Security and
Governmental Affairs of the Senate shall hold confirmation
hearings on the nominations.
(2) Committee vote.--Not later than 14 days on which the
Senate is in session after the date on which the Committee on
Homeland Security and Governmental Affairs holds a confirmation
hearing on the nomination of an individual to serve as a member
of the Review Board, the committee shall vote on the nomination
and report the results to the full Senate immediately.
(3) Senate vote.--Not later than 14 days on which the
Senate is in session after the date on which the Committee on
Homeland Security and Governmental Affairs reports the results
of a vote on a nomination of an individual to serve as a member
of the Review Board, the Senate shall vote on the confirmation
of the nominee.
(e) Vacancy.--Not later than 60 days after the date on which a
vacancy on the Review Board occurs, the vacancy shall be filled in the
same manner as specified for original appointment.
(f) Chairperson.--The members of the Review Board shall elect a
member as Chairperson at the initial meeting of the Review Board.
(g) Removal of Review Board Member.--
(1) In general.--A member of the Review Board shall not be
removed from office, other than--
(A) by impeachment by Congress; or
(B) by the action of the President for
inefficiency, neglect of duty, malfeasance in office,
physical disability, mental incapacity, or any other
condition that substantially impairs the performance of
the member's duties.
(2) Judicial review.--
(A) In general.--A member of the Review Board
removed from office may obtain judicial review of the
removal in a civil action commenced in the United
States District Court for the District of Columbia.
(B) Relief.--The member may be reinstated or
granted other appropriate relief by order of the court.
(h) Compensation of Members.--
(1) Basic pay.--A member of the Review Board shall be
compensated at a rate equal to the daily equivalent of the
annual rate of basic pay prescribed for level IV of the
Executive Schedule under section 5315 of title 5, United States
Code, for each day (including travel time) during which the
member is engaged in the performance of the duties of the
Review Board.
(2) Travel expenses.--A member of the Review Board shall be
allowed reasonable travel expenses, including per diem in lieu
of subsistence, at rates for employees of agencies under
subchapter I of chapter 57 of title 5, United States Code,
while away from the member's home or regular place of business
in the performance of services for the Review Board.
(i) Duties of the Review Board.--
(1) In general.--The Review Board shall consider and render
a decision on a determination by a Government office to seek to
postpone the disclosure of a Missing Armed Forces Personnel
record, in whole or in part.
(2) Records.--In carrying out paragraph (1), the Review
Board shall consider and render a decision regarding--
(A) whether a record constitutes a Missing Armed
Forces Personnel record; and
(B) whether a Missing Armed Forces Personnel
record, or particular information in a Missing Armed
Forces Personnel record, qualifies for postponement of
disclosure under this Act.
(j) Powers.--The Review Board shall have the authority to act in a
manner prescribed under this Act, including authority to--
(1) direct Government offices to transmit to the Archivist
Missing Armed Forces Personnel records as required under this
Act;
(2) direct Government offices to transmit to the Archivist
substitutes and summaries of Missing Armed Forces Personnel
records that can be publicly disclosed to the fullest extent
for any Missing Armed Forces Personnel record that is proposed
for postponement in full or that is substantially redacted;
(3) obtain access to Missing Armed Forces Personnel records
that have been identified by a Government office;
(4) direct a Government office to make available to the
Review Board, and if necessary investigate the facts
surrounding, additional information, records, or testimony from
individuals, which the Review Board has reason to believe is
required to fulfill its functions and responsibilities under
this Act;
(5) hold such hearings, sit and act at such times and
places, take such testimony, receive such evidence, and
administer such oaths as the Review Board considers advisable
to carry out its responsibilities under this Act;
(6) hold individuals in contempt for failure to comply with
directives and mandates issued by the Review Board under this
Act, which shall not include the authority to imprison or fine
any individual;
(7) require any Government office to account in writing for
the destruction of any records relating to the loss, fate, or
status of Missing Armed Forces Personnel;
(8) receive information from the public regarding the
identification and public disclosure of Missing Armed Forces
Personnel records; and
(9) make a final determination regarding whether a Missing
Armed Forces Personnel record will be disclosed to the public
or disclosure of the Missing Armed Forces Personnel record to
the public will be postponed, notwithstanding the determination
of an Executive agency.
(k) Witness Immunity.--The Review Board shall be considered to be
an agency of the United States for purposes of section 6001 of title
18, United States Code.
(l) Oversight.--
(1) In general.--The Committee on Homeland Security and
Governmental Affairs of the Senate and the Committee on
Oversight and Reform of the House of Representatives shall
have--
(A) continuing oversight jurisdiction with respect
to the official conduct of the Review Board and the
disposition of postponed records after termination of
the Review Board; and
(B) upon request, access to any records held or
created by the Review Board.
(2) Duty of review board.--The Review Board shall have the
duty to cooperate with the exercise of oversight jurisdiction
under paragraph (1).
(m) Support Services.--The Administrator of the General Services
Administration shall provide administrative services for the Review
Board on a reimbursable basis.
(n) Interpretive Regulations.--The Review Board may issue
interpretive regulations.
(o) Termination and Winding Up.--
(1) In general.--Two years after the date of enactment of
this Act, the Review Board shall, by majority vote, determine
whether all Government offices have complied with the
obligations, mandates, and directives under this Act.
(2) Termination date.--The Review Board shall terminate on
the date that is 4 years after the date of swearing in of the
Board members.
(3) Report.--Before the termination of the Review Board
under paragraph (2), the Review Board shall submit to Congress
reports, including a complete and accurate accounting of
expenditures during its existence, and shall complete all other
reporting requirements under this Act.
(4) Records.--Upon termination of the Review Board, the
Review Board shall transfer all records of the Review Board to
the Archivist for inclusion in the Collection, and no record of
the Review Board shall be destroyed.
SEC. 8. MISSING ARMED FORCES PERSONNEL RECORDS REVIEW BOARD PERSONNEL.
(a) Executive Director.--
(1) In general.--Not later than 45 days after the initial
meeting of the Review Board, the Review Board shall appoint an
individual to the position of Executive Director.
(2) Qualifications.--The individual appointed as Executive
Director of the Review Board--
(A) shall be a citizen of the United States of
integrity and impartiality;
(B) shall be appointed without regard to political
affiliation; and
(C) shall not have any conflict of interest with
the mission of the Review Board.
(3) Security clearance.--
(A) Limit on appointment.--The Review Board shall
not appoint an individual as Executive Director until
after the date on which the individual qualifies for
the necessary security clearance.
(B) Expedited provision.--The appropriate
departments, agencies, and elements of the executive
branch of the Federal Government shall cooperate to
ensure that an application by an individual nominated
to be Executive Director, seeking security clearances
necessary to carry out the duties of the Executive
Director, is expeditiously reviewed and granted or
denied.
(4) Duties.--The Executive Director shall--
(A) serve as principal liaison to Government
offices;
(B) be responsible for the administration and
coordination of the review of records by the Review
Board;
(C) be responsible for the administration of all
official activities conducted by the Review Board; and
(D) not have the authority to decide or determine
whether any record should be disclosed to the public or
postponed for disclosure.
(5) Removal.--The Executive Director may be removed by a
majority vote of the Review Board.
(b) Staff.--
(1) In general.--The Review Board may, in accordance with
the civil service laws, but without regard to civil service law
and regulation for competitive service as defined in subchapter
I of chapter 33 of title 5, United States Code, appoint and
terminate additional employees as are necessary to enable the
Review Board and the Executive Director to perform their duties
under this Act.
(2) Qualifications.--An individual appointed to a position
as an employee of the Review Board--
(A) shall be a citizen of the United States of
integrity and impartiality; and
(B) shall not have had any previous involvement
with any official investigation or inquiry relating to
the loss, fate, or status of Missing Armed Forces
Personnel.
(3) Security clearance.--
(A) Limit on appointment.--The Review Board shall
not appoint an individual as an employee of the Review
Board until after the date on which the individual
qualifies for the necessary security clearance.
(B) Expedited provision.--The appropriate
departments, agencies, and elements of the executive
branch of the Federal Government shall cooperate to
ensure that an application by an individual who is a
candidate for a position with the Review Board, seeking
security clearances necessary to carry out the duties
of the position, is expeditiously reviewed and granted
or denied.
(c) Compensation.--The Review Board shall fix the compensation of
the Executive Director and other employees of the Review Board without
regard to chapter 51 and subchapter III of chapter 53 of title 5,
United States Code, relating to classification of positions and General
Schedule pay rates, except that the rate of pay for the Executive
Director and other employees may not exceed the rate payable for level
V of the Executive Schedule under section 5316 of title 5, United
States Code.
(d) Advisory Committees.--
(1) In general.--The Review Board may create 1 or more
advisory committees to assist in fulfilling the
responsibilities of the Review Board under this Act.
(2) Applicability of faca.--Any advisory committee created
by the Review Board shall be subject to the Federal Advisory
Committee Act (5 U.S.C. App.).
SEC. 9. REVIEW OF RECORDS BY THE MISSING ARMED FORCES PERSONNEL RECORDS
REVIEW BOARD.
(a) Startup Requirements.--The Review Board shall--
(1) not later than 90 days after the date on which all
members are sworn in, publish an initial schedule for review of
all Missing Armed Forces Personnel records, which the Archivist
shall highlight and make available on a publicly accessible
website administered by the National Archives; and
(2) not later than 180 days after the swearing in of the
Board members, begin reviewing of Missing Armed Forces
Personnel records under this Act.
(b) Determination of the Review Board.--
(1) In general.--The Review Board shall direct that all
records that relate, directly or indirectly, to the loss, fate,
or status of Missing Armed Forces Personnel be transmitted to
the Archivist and disclosed to the public in the Collection in
the absence of clear and convincing evidence that the record is
not a Missing Armed Forces Personnel record.
(2) Postponement.--In approving postponement of public
disclosure of a Missing Armed Forces Personnel record, or
information within a Missing Armed Forces Personnel record, the
Review Board shall seek to--
(A) provide for the disclosure of segregable parts,
substitutes, or summaries of the Missing Armed Forces
Personnel record; and
(B) determine, in consultation with the originating
body and consistent with the standards for postponement
under this Act, which of the following alternative
forms of disclosure shall be made by the originating
body:
(i) Any reasonably segregable particular
information in a Missing Armed Forces Personnel
record.
(ii) A substitute record for that
information which is postponed.
(iii) A summary of a Missing Armed Forces
Personnel record.
(3) Reporting.--With respect to a Missing Armed Forces
Personnel record, or information within a Missing Armed Forces
Personnel record, the public disclosure of which is postponed
under this Act, or for which only substitutions or summaries
have been disclosed to the public, the Review Board shall
create and transmit to the Archivist an unclassified and
publicly releasable report containing--
(A) a description of actions by the Review Board,
the originating body, or any Government office
(including a justification of any such action to
postpone disclosure of any record or part of any
record) and of any official proceedings conducted by
the Review Board; and
(B) a statement, based on a review of the
proceedings and in conformity with the decisions
reflected therein, designating a recommended specified
time at which, or a specified occurrence following
which, the material may be appropriately disclosed to
the public under this Act, which the Review Board shall
disclose to the public with notice thereof, reasonably
calculated to make interested members of the public
aware of the existence of the statement.
(4) Actions after determination.--
(A) In general.--Not later than 30 days after the
date of a determination by the Review Board that a
Missing Armed Forces Personnel record shall be publicly
disclosed in the Collection or postponed for disclosure
and held in the protected Collection, the Review Board
shall notify the head of the originating body of the
determination and highlight and make available the
determination on a publicly accessible website
reasonably calculated to make interested members of the
public aware of the existence of the determination.
(B) Oversight notice.--Simultaneous with notice
under subparagraph (A), the Review Board shall provide
notice of a determination concerning the public
disclosure or postponement of disclosure of a Missing
Armed Forces Personnel record, or information contained
within a Missing Armed Forces Personnel record, which
shall include a written unclassified justification for
public disclosure or postponement of disclosure,
including an explanation of the application of any
standards in section 6 to the President, to the
Committee on Homeland Security and Governmental Affairs
of the Senate, and the Committee on Oversight and
Reform of the House of Representatives.
(5) Referral after termination.--A Missing Armed Forces
Personnel record that is identified, located, or otherwise
discovered after the date on which the Review Board terminates
shall be transmitted to the Archivist for the Collection and
referred to the Committee on Armed Services of the Senate and
the Committee on Armed Services of the House of Representatives
for review, ongoing oversight and, as warranted, referral for
possible enforcement action relating to a violation of this Act
and determination as to whether declassification of the Missing
Armed Forces Personnel is warranted under this Act.
(c) Notice to Public.--Every 30 days, beginning on the date that is
60 days after the date on which the Review Board first approves the
postponement of disclosure of a Missing Armed Forces Personnel record,
the Review Board shall highlight and make accessible on a publicly
available website reasonably calculated to make interested members of
the public aware of the existence of the postponement a notice that
summarizes the postponements approved by the Review Board, including a
description of the subject, originating body, length or other physical
description, and each ground for postponement that is relied upon.
(d) Reports by the Review Board.--
(1) In general.--Not later than 1 year after the date of
enactment of this Act, and every year thereafter until the
Review Board terminates, the Review Board shall submit a report
regarding the activities of the Review Board to--
(A) the Committee on Oversight and Reform of the
House of Representatives;
(B) the Committee on Homeland Security and
Governmental Affairs of the Senate;
(C) the President;
(D) the Archivist; and
(E) the head of any Government office the records
of which have been the subject of Review Board
activity.
(2) Contents.--Each report under paragraph (1) shall
include the following information:
(A) A financial report of the expenses for all
official activities and requirements of the Review
Board and its employees.
(B) The progress made on review, transmission to
the Archivist, and public disclosure of Missing Armed
Forces Personnel records.
(C) The estimated time and volume of Missing Armed
Forces Personnel records involved in the completion of
the duties of the Review Board under this Act.
(D) Any special problems, including requests and
the level of cooperation of Government offices, with
regard to the ability of the Review Board to carry out
its duties under this Act.
(E) A record of review activities, including a
record of postponement decisions by the Review Board or
other related actions authorized under this Act, and a
record of the volume of records reviewed and postponed.
(F) Suggestions and requests to Congress for
additional legislative authority needs.
(G) An appendix containing copies of reports
relating to postponed records submitted to the
Archivist under subsection (b)(3) since the end of the
period covered by the most recent report under
paragraph (1).
(3) Termination notice.--Not later than 90 days before the
Review Board expects to complete the work of the Review Board
under this Act, the Review Board shall provide written notice
to Congress of the intent of the Review Board to terminate
operations at a specified date.
SEC. 10. DISCLOSURE OF OTHER MATERIALS AND ADDITIONAL STUDY.
(a) Materials Under Seal of Court.--
(1) In general.--The Review Board may request the Attorney
General to petition any court of the United States or of a
foreign country to release any information relevant to the
loss, fate, or status of Missing Armed Forces Personnel that is
held under seal of the court.
(2) Grand jury information.--
(A) In general.--The Review Board may request the
Attorney General to petition any court of the United
States to release any information relevant to loss,
fate, or status of Missing Armed Forces Personnel that
is held under the injunction of secrecy of a grand
jury.
(B) Treatment.--A request for disclosure of Missing
Armed Forces Personnel materials under this Act shall
be deemed to constitute a showing of particularized
need under rule 6 of the Federal Rules of Criminal
Procedure.
(b) Sense of Congress.--It is the sense of Congress that--
(1) the Attorney General should assist the Review Board in
good faith to unseal any records that the Review Board
determines to be relevant and held under seal by a court or
under the injunction of secrecy of a grand jury;
(2) the Secretary of State should--
(A) contact the Governments of the Russian
Federation, the People's Republic of China, and the
Democratic People's Republic of Korea to seek the
disclosure of all records in their respective custody,
possession, or control relevant to the loss, fate, or
status of Missing Armed Forces Personnel; and
(B) contact any other foreign government that may
hold information relevant to the loss, fate, or status
of Missing Armed Forces Personnel, and seek disclosure
of such information; and
(3) all agencies should cooperate in full with the Review
Board to seek the disclosure of all information relevant to the
loss, fate, or status of Missing Armed Forces Personnel
consistent with the public interest.
SEC. 11. RULES OF CONSTRUCTION.
(a) Precedence Over Other Law.--When this Act requires transmission
of a record to the Archivist or public disclosure, it shall take
precedence over any other law (except section 6103 of the Internal
Revenue Code of 1986), judicial decision construing such law, or common
law doctrine that would otherwise prohibit such transmission or
disclosure, with the exception of deeds governing access to or transfer
or release of gifts and donations of records to the United States
Government.
(b) Freedom of Information Act.--Nothing in this Act shall be
construed to eliminate or limit any right to file requests with any
Executive agency or seek judicial review of the decisions under section
552 of title 5, United States Code.
(c) Judicial Review.--Nothing in this Act shall be construed to
preclude judicial review under chapter 7 of title 5, United States
Code, of final actions taken or required to be taken under this Act.
(d) Existing Authority.--Nothing in this Act revokes or limits the
existing authority of the President, any Executive agency, the Senate,
or the House of Representatives, or any other entity of the Government
to publicly disclose records in its custody, possession, or control.
(e) Rules of the Senate and House of Representatives.--To the
extent that any provision of this Act establishes a procedure to be
followed in the Senate or the House of Representatives, such provision
is adopted--
(1) as an exercise of the rulemaking power of the Senate
and House of Representatives, respectively, and is deemed to be
part of the rules of each House, respectively, but applicable
only with respect to the procedure to be followed in that
House, and it supersedes other rules only to the extent that it
is inconsistent with such rules; and
(2) with full recognition of the constitutional right of
either House to change the rules (so far as they relate to the
procedure of that House) at any time, in the same manner, and
to the same extent as in the case of any other rule of that
House.
SEC. 12. TERMINATION OF EFFECT OF ACT.
(a) Provisions Pertaining to the Review Board.--The provisions of
this Act that pertain to the appointment and operation of the Review
Board shall cease to be effective when the Review Board and the terms
of its members have terminated under section 7(o).
(b) Other Provisions.--The remaining provisions of this Act shall
continue in effect until such time as the Archivist certifies to the
President and Congress that all Missing Armed Forces Personnel records
have been made available to the public in accordance with this Act.
SEC. 13. AUTHORIZATION OF APPROPRIATIONS.
(a) In General.--There are authorized to be appropriated such sums
as are necessary to carry out this Act, to remain available until
expended.
(b) Interim Funding.--Until such time as funds are appropriated
pursuant to subsection (a), the President may use such sums as are
available for discretionary use to carry out this Act.
SEC. 14. SEVERABILITY.
If any provision of this Act, or the application thereof to any
person or circumstance, is held invalid, the remainder of this Act and
the application of that provision to other persons not similarly
situated or to other circumstances shall not be affected by the
invalidation.
<all>
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118HR3111 | Words Matter Act of 2023 | [
[
"P000607",
"Rep. Pocan, Mark [D-WI-2]",
"sponsor"
],
[
"S000250",
"Rep. Sessions, Pete [R-TX-17]",
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[
"M001159",
"Rep. McMorris Rodgers, Cathy [R-WA-5]",
"cosponsor"... | <p><strong>Words Matter Act of 2023</strong></p> <p>This bill removes outdated terminology in specified statutes by replacing references to<em> mentally retarded</em> and <em>mental retardation</em> with <em>intellectual disability</em>.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3111 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3111
To amend Federal law to remove the terms ``mentally retarded'' and
``mental retardation'', and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Pocan (for himself, Mr. Sessions, Ms. Norton, Mrs. Rodgers of
Washington, Mr. Mullin, Mr. DeSaulnier, Mr. Grijalva, Mr. Phillips, Ms.
Tokuda, Mr. Blumenauer, Mr. Keating, Mr. Fitzpatrick, Mr. Tonko, Mr.
Garcia of Illinois, Mr. Smith of New Jersey, Mr. Langworthy, Mr.
Molinaro, Mrs. Houchin, Mrs. Watson Coleman, Mr. Nickel, Ms.
Schakowsky, Mr. Doggett, Ms. McCollum, Ms. Castor of Florida, Ms.
Kaptur, Ms. Wild, Mr. Evans, Mr. Moskowitz, Mr. Duncan, Ms. Letlow, Mr.
Payne, Ms. Sherrill, Mr. McGarvey, Ms. Budzinski, Mr. Khanna, Mr. Mann,
Ms. Lee of Pennsylvania, Ms. Kuster, and Ms. DelBene) introduced the
following bill; which was referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To amend Federal law to remove the terms ``mentally retarded'' and
``mental retardation'', and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Words Matter Act of 2023''.
SEC. 2. REMOVAL OF ``MENTALLY RETARDED'' AND ``MENTAL RETARDATION''
FROM FEDERAL LAW.
(a) Contracts for Medical Care for Spouses and Children.--Section
1079(d)(3)(B) of title 10, United States Code, is amended by striking
``is moderately or severely mentally retarded, has a serious physical
disability, or has'' and inserting ``has a moderate to severe
intellectual disability, a serious physical disability, or''.
(b) Mortgage Insurance for Nursing Homes, Intermediate Care
Facilities, and Board and Care Homes.--Section 232(d)(4)(A) of the
National Housing Act (12 U.S.C. 1715w(d)(4)(A)) is amended by striking
``the mentally retarded or developmentally disabled'' and inserting
``individuals with intellectual or developmental disabilities''.
(c) Implementation of a Sentence of Death.--Section 3596(c) of
title 18, United States Code, is amended by striking ``is mentally
retarded'' and inserting ``has an intellectual disability''.
(d) Fetal Alcohol Syndrome Definition.--Section 4(9)(A) of the
Indian Health Care Improvement Act (25 U.S.C. 1603(9)(A)) is amended by
striking ``mental retardation'' and inserting ``intellectual
disability''.
(e) General Programs Definitions.--Section 701 of the Indian Health
Care Improvement Act (25 U.S.C. 1665) is amended by striking ``mental
retardation'' and inserting ``intellectual disability'' each place it
appears.
(f) Grant Authority.--Section 2201 of the Omnibus Crime Control and
Safe Streets Act of 1968 (34 U.S.C. 10471) is amended--
(1) in paragraph (1) by striking ``mental retardation'' and
inserting ``intellectual disabilities''; and
(2) in paragraph (2)--
(A) in subparagraph (A) by striking ``a mentally
ill or mentally retarded offender'' and inserting ``an
offender who has a mental illness or intellectual
disability''; and
(B) in subparagraph (C) by striking ``of a mentally
ill or mentally retarded defendant's cases'' and
inserting ``cases of a defendant who has a mental
illness or intellectual disability''.
(g) Mental Health Courts Definitions.--Section 2202(2) of the
Omnibus Crime Control and Safe Streets Act of 1968 (34 U.S.C. 10472(2))
is amended by striking ``mental retardation'' and inserting
``intellectual disability'' each place it appears.
(h) Donation of Personal Property Through State Agencies.--Section
549(c)(3)(B)(iv) of title 40, United States Code, is amended by
striking ``the mentally retarded or physically handicapped'' and
inserting ``individuals with intellectual or physical disabilities''.
(i) Training Opportunities for Direct Care Workers.--Section
747A(a) of the Public Health Service Act (42 U.S.C. 293k-1(a)) is
amended by striking ``mental retardation'' and inserting ``intellectual
disabilities''.
(j) Criminal Penalties for Acts Involving Federal Health Care
Programs.--Section 1128B of the Social Security Act (42 U.S.C. 1320a-
7b) is amended by striking ``the mentally retarded'' and inserting
``individuals with intellectual disabilities'' each place it appears.
(k) Long-Term Care Facility or Provider.--Section 6201(a)(6)(E)(ix)
of the Patient Protection and Affordable Care Act (42 U.S.C. 1320a-
7l(a)(6)(E)(ix)) is amended by striking ``the mentally retarded'' and
inserting ``individuals with intellectual disabilities''.
(l) Grants for Planning Comprehensive Action To Respond to the
Needs of Individuals With Intellectual Disabilities.--Title XVII of the
Social Security Act (42 U.S.C. 1391 et seq.) is amended--
(1) in the title heading by striking ``COMBAT MENTAL
RETARDATION'' and inserting ``MEET THE NEEDS OF INDIVIDUALS
WITH INTELLECTUAL DISABILITIES'';
(2) in section 1701, by striking ``combat mental
retardation'' and inserting ``meet the needs of individuals
with intellectual disabilities'' each place it appears;
(3) in section 1702--
(A) by striking ``needed to combat mental
retardation'' and inserting ``needed to meet the needs
of individuals with intellectual disabilities'';
(B) by striking ``the mental retardation problem
and of the need for combating it'' and inserting ``such
needs'';
(C) by striking ``relating to the various aspects
of mental retardation and its prevention, treatment, or
amelioration'' and inserting ``to meet such needs'';
and
(D) by striking ``community action to combat mental
retardation'' and inserting ``community action to meet
such needs''; and
(4) in section 1703 by striking ``the mentally retarded''
and inserting ``individuals with intellectual disabilities''.
(m) Requirements for, and Assuring Quality Care in, Skilled Nursing
Facilities.--Section 1819(b)(4) of the Social Security Act (42 U.S.C.
1395i-3(b)(4)) is amended--
(1) in subparagraph (A)(vii) by striking ``mentally ill and
mentally retarded residents'' and inserting ``residents with
mental illnesses or intellectual disabilities''; and
(2) in subparagraph (C)(ii)(IV) by striking ``the mentally
ill and the mentally retarded'' and inserting ``individuals
with mental illnesses or intellectual disabilities''.
(n) Grants to States for Medical Assistance Programs.--Title XIX of
the Social Security Act (42 U.S.C. 1396 et seq.) is amended--
(1) by striking ``intermediate care facility for the
mentally retarded'' and inserting ``intermediate care facility
for individuals with intellectual disabilities'' each place it
appears;
(2) by striking ``intermediate care facilities for the
mentally retarded'' and inserting ``intermediate care
facilities for individuals with intellectual disabilities''
each place it appears;
(3) in section 1905(d)--
(A) in the matter preceding paragraph (1) by
striking ``the mentally retarded or persons with'' and
inserting ``individuals with intellectual disabilities
or'';
(B) in paragraph (1) by striking ``mentally
retarded individuals'' and inserting ``individuals with
intellectual disabilities''; and
(C) in paragraph (2) by striking ``mentally
retarded individual'' and inserting ``individual who
has an intellectual disability'';
(4) in the section heading of section 1910 by striking
``the mentally retarded'' and inserting ``individuals with
intellectual disabilities'';
(5) in section 1915(c)(7)(C) by striking ``mental
retardation or a related condition'' and inserting
``intellectual disabilities or related conditions'';
(6) in section 1919--
(A) in subsection (b)(3)--
(i) in subparagraph (E)--
(I) by striking ``mental
retardation'' and inserting
``intellectual''; and
(II) by striking ``is mentally ill
or mentally retarded'' and inserting
``has a mental illness or intellectual
disability''; and
(ii) in subparagraph (F)--
(I) in the subparagraph heading by
striking ``mentally ill and mentally
retarded individuals'' and inserting
``individuals who have mental illnesses
or intellectual disabilities'';
(II) by striking ``State mental
retardation'' and inserting ``State
intellectual'' each place it appears;
(III) in clause (i) by striking
``is mentally ill'' and inserting ``has
a mental illness''; and
(IV) in clause (ii)--
(aa) by striking ``is
mentally retarded'' and
inserting ``has an intellectual
disability''; and
(bb) by striking ``for
mental retardation'' and
inserting ``for such
intellectual disability'';
(B) in subsection (b)(4)--
(i) in subparagraph (A)(vii) by striking
``mentally ill and mentally retarded
residents'' and inserting ``residents with
mental illnesses or intellectual
disabilities''; and
(ii) in subparagraph (C)(ii)(IV) by
striking ``the mentally ill and the mentally
retarded'' and inserting ``individuals with
mental illnesses or intellectual
disabilities''; and
(C) in subsection (e)(7)--
(i) in subparagraph (A)(i) by striking
``mentally ill and mentally retarded
individuals'' and inserting ``individuals with
mental illnesses or intellectual
disabilities'';
(ii) in subparagraph (B)--
(I) by striking ``State mental
retardation'' and inserting ``State
intellectual'' each place it appears;
(II) in clause (ii)--
(aa) in the clause heading
by striking ``mentally retarded
residents'' and inserting
``residents with intellectual
disabilities'';
(bb) in the matter
preceding clause (I) by
striking ``is mentally
retarded'' and inserting ``has
an intellectual disability'';
and
(cc) in subclause (II) by
striking ``mental retardation''
and inserting ``an intellectual
disability''; and
(III) in clause (iii) by striking
``mentally ill or mentally retarded
resident'' and inserting ``resident who
has a mental illness or intellectual
disability'';
(iii) in subparagraph (C) by striking
``mental retardation'' and inserting
``intellectual disability'' in each place it
appears;
(iv) in subparagraph (E)--
(I) by striking ``are mentally
retarded or mentally ill'' and
inserting ``have an intellectual
disability or mental illness''; and
(II) by striking ``mental
retardation'' and inserting
``intellectual disability''; and
(v) in subparagraph (G)--
(I) in clause (i) by inserting ``or
have a `mental illness''' after
```mentally ill'''; and
(II) in clause (ii) by striking
``be `mentally retarded' if the
individual is mentally retarded or a
person with'' and inserting ``have an
`intellectual disability' if the
individual has an intellectual
disability or''; and
(7) in the section heading of section 1922 by striking
``the mentally retarded'' and inserting ``individuals with
intellectual disabilities''.
(o) Payments to States.--Section 2002(a)(2)(A) of the Social
Security Act (42 U.S.C. 1397a(a)(2)(A)) is amended by striking ``the
mentally retarded'' and inserting ``individuals with intellectual
disabilities''.
(p) Miscellaneous Provisions.--Section 12(d)(5) of the Richard B.
Russell National School Lunch Act (42 U.S.C. 1760(d)(5)) is amended by
striking ``the mentally retarded'' and inserting ``individuals with
intellectual disabilities''.
(q) Child Nutrition Definitions.--Section 15(3) of the Child
Nutrition Act of 1966 (42 U.S.C. 1784(3)) is amended by striking ``the
mentally retarded'' and inserting ``individuals with intellectual
disabilities''.
(r) Institutionalized Persons Definitions.--Section 2(1)(B) of the
Civil Rights of Institutionalized Persons Act (42 U.S.C. 1997(1)(B)) is
amended--
(1) in clause (i) by striking ``disabled, or retarded, or
chronically ill or handicapped'' and inserting ``physically or
intellectually disabled, or chronically ill''; and
(2) in clause (iv)(III) by striking ``mentally ill or
disabled, mentally retarded, or chronically ill or
handicapped'' and inserting ``mentally ill, physically or
intellectually disabled, or chronically ill''.
(s) Programs for Individuals With Developmental Disabilities.--
Title I of the Developmental Disabilities Assistance and Bill of Rights
Act of 2000 (42 U.S.C. 15001 et seq.) is amended--
(1) by striking ``Intermediate Care Facility (Mental
Retardation)'' and inserting ``intermediate care facility for
individuals with intellectual disabilities'' each place it
appears;
(2) in section 109(a)(4)(B)(i) by striking ``the mentally
retarded'' and inserting ``individuals with intellectual
disabilities''; and
(3) in section 125(c)(7)(F)(i) by striking ``Intermediate
Care Facilities (Mental Retardation)'' and inserting
``intermediate care facilities for individuals with
intellectual disabilities''.
SEC. 3. REGULATIONS.
For the purposes of a regulation issued to carry out a provision
amended by this Act--
(1) before the regulation is amended to carry out this
Act--
(A) a reference in the regulation to ``mental
retardation'' shall be considered to be a reference to
``an intellectual disability''; and
(B) a reference in the regulation to ``the mentally
retarded'', or ``individuals who are mentally
retarded'', shall be considered to be a reference to
``individuals with intellectual disabilities''; and
(2) in amending a regulation to carry out this Act, a
Federal agency shall ensure that the regulation clearly
states--
(A) that ``an intellectual disability'' was
formerly termed ``mental retardation''; and
(B) that ``individuals with intellectual
disabilities'' were formerly termed ``the mentally
retarded'' or ``individuals who are mentally
retarded''.
SEC. 4. RULE OF CONSTRUCTION.
This Act shall be construed to amend Federal law to remove the term
``mentally retarded'' and ``mental retardation'' without any intent
to--
(1) change the coverage, eligibility, rights,
responsibilities, or definitions referred to in the amended
provisions; or
(2) compel States to change terminology in State laws for
individuals covered by a provision amended by this Act.
<all>
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118HR3112 | No Hungry Kids in Schools Act | [
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... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3112 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3112
To amend the Richard B. Russell National School Lunch Act to establish
statewide community eligibility for certain special assistance
payments, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. Porter (for herself, Mr. Aguilar, Ms. Sanchez, Ms. Wilson of
Florida, Mr. Payne, Mr. Carson, Mr. DeSaulnier, Mrs. Watson Coleman,
Mr. Gottheimer, Ms. Tokuda, Mr. Mullin, Ms. Lee of California, and Mr.
Evans) introduced the following bill; which was referred to the
Committee on Education and the Workforce
_______________________________________________________________________
A BILL
To amend the Richard B. Russell National School Lunch Act to establish
statewide community eligibility for certain special assistance
payments, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``No Hungry Kids in Schools Act''.
SEC. 2. STATEWIDE COMMUNITY ELIGIBILITY.
Section 11(a)(1)(F) of the Richard B. Russell National School Lunch
Act (42 U.S.C. 1759a(a)(1)(F)) is amended by adding at the end the
following:
``(xiv) Statewide community eligibility.--
For each school year beginning on or after July
1, 2023, the Secretary shall establish an
option for States to utilize a statewide
community eligibility program, for purposes of
which, in the case of a State agency that
agrees to provide funding from sources other
than Federal funds to ensure that local
educational agencies in the State receive the
free reimbursement rate for 100 percent of the
meals served at applicable schools, as defined
by the Secretary--
``(I) the multiplier described in
clause (vii) shall apply;
``(II) the threshold described in
clause (viii) shall be zero; and
``(III) the percentage of enrolled
students who were identified students
shall be calculated across all
applicable schools in the State
regardless of local educational
agency.''.
<all>
</pre></body></html>
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118HR3114 | Town Halls for Veterans Act | [
[
"M001159",
"Rep. McMorris Rodgers, Cathy [R-WA-5]",
"sponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3114 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3114
To direct the Secretary of Veterans Affairs to provide for quarterly
town hall meetings for veterans to meet with appropriate employees of
the Department of Veterans Affairs at each medical center of the
Department.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mrs. Rodgers of Washington introduced the following bill; which was
referred to the Committee on Veterans' Affairs
_______________________________________________________________________
A BILL
To direct the Secretary of Veterans Affairs to provide for quarterly
town hall meetings for veterans to meet with appropriate employees of
the Department of Veterans Affairs at each medical center of the
Department.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Town Halls for Veterans Act''.
SEC. 2. DEPARTMENT OF VETERANS AFFAIRS TOWN HALL MEETINGS AT MEDICAL
CENTERS.
The Secretary of Veterans Affairs shall provide for quarterly town
hall meetings for veterans at each medical center of the Department.
Each such meeting shall include the director of the medical center, or
the director's designee, and the director of the Veterans Integrated
Service Network in which the medical center is located, or the
director's designee, and other appropriate employees of the Department,
as determined by the Secretary.
<all>
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118HR3115 | Public Service Reform Act | [
[
"R000614",
"Rep. Roy, Chip [R-TX-21]",
"sponsor"
],
[
"H001093",
"Rep. Houchin, Erin [R-IN-9]",
"cosponsor"
],
[
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[
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],
[
"M001177",
... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3115 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3115
To provide that all Federal employees in the executive branch of the
Federal Government are at-will employees, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Roy (for himself, Mrs. Houchin, Mr. Ogles, Mr. Nehls, Mr.
McClintock, Mrs. Boebert, Mr. Duncan, Mr. Davidson, Mr. Bishop of North
Carolina, Mr. Good of Virginia, Ms. Hageman, and Mrs. Luna) introduced
the following bill; which was referred to the Committee on Oversight
and Accountability
_______________________________________________________________________
A BILL
To provide that all Federal employees in the executive branch of the
Federal Government are at-will employees, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Public Service Reform Act''.
SEC. 2. AT-WILL EMPLOYMENT FOR FEDERAL EXECUTIVE BRANCH EMPLOYEES.
(a) Definitions.--In this section--
(1) the term ``adverse personnel action'' means, with
respect to an employee, a removal, a suspension for more than
14 days, a reduction in grade, a reduction in pay, or a
furlough of 30 days or less;
(2) the term ``career employee'' means any employee who is
not a political appointee;
(3) the term ``covered position'' has the meaning given the
term in section 2302(a)(2)(B) of title 5, United States Code;
(4) the term ``employee''--
(A) has the meaning given the term in section 2105
of title 5, United States Code; and
(B) includes--
(i) an officer or employee of the United
States Postal Service or the Postal Regulatory
Commission; and
(ii) notwithstanding subsection (b) of
section 7425 of title 38, United States Code,
any employee described in subsection (a) of
such section 7425; and
(5) the term ``political appointee'' means any employee
who--
(A) is appointed by the President;
(B) is a noncareer appointee (as that term is
defined in section 3132(a)(7) of title 5, United States
Code);
(C) occupies a position under schedule C of subpart
C of part 213 of title 5, Code of Federal Regulations,
or any successor regulations; or
(D) occupies any other position in the civil
service (as that term is defined in section 2101 of
title 5, United States Code) that is classified as a
political position after the date of enactment of this
Act under regulations prescribed by the Director of the
Office of Personnel Management.
(b) At-Will Employment.--
(1) In general.--Notwithstanding any other provision of
law, rule, or regulation, and except as provided in paragraph
(2), any employee in the executive branch of the Federal
Government--
(A) shall be considered at-will;
(B) may be subject to any adverse personnel action
(up to and including removal) for good cause, bad
cause, or no cause at all; and
(C) may not challenge or otherwise appeal an action
described in subparagraph (B), except as provided in
subsections (c) and (g).
(2) Limitation.--An employee may not be subject to any
adverse personnel action under this Act for a reason that is
prohibited under section 2302(b) of title 5, United States
Code.
(3) Procedures.--
(A) In general.--The President shall establish
procedures to enforce compliance with paragraph (2).
(B) Rule of construction.--Nothing in this
paragraph may be construed to grant an employee the
right to review or appeal an adverse personnel action
outside of the procedures described in subparagraph
(A), subsection (g), or subsection (h), as applicable.
(c) Removal of Career Employees.--With respect to the removal of a
career employee, the following procedures shall apply:
(1) Before the applicable agency removes the career
employee--
(A) the agency official authorized to propose such
action (referred to in this subsection as the
``proposing official'') shall provide the career
employee with written notification of the proposed
removal and the reasons for the proposed removal; and
(B) the career employee shall have 14 days to
provide a written response to the notification received
under subparagraph (A), except that the head of the
applicable agency shall have sole and exclusive
discretion to alter that response period on a case-by-
case basis.
(2) Under procedures prescribed by the applicable agency
head, in the sole and exclusive discretion of the agency head,
an agency official (who, except when the proposing official is
the agency head, shall be an agency official other than the
proposing official) (referred to in this subsection as the
``deciding official'')--
(A) shall review the proposed removal and the
response of the career employee under paragraph (1);
(B) may, in the sole and exclusive discretion of
the deciding official, conduct a hearing on the matter;
and
(C) after the review conducted under subparagraph
(A), and any hearing conducted under subparagraph (B),
shall decide whether to remove or retain the career
employee.
(3) The determination of a deciding official under
paragraph (2) shall be the final decision of the applicable
agency with respect to the career employee, unless, not later
than 7 days after the date on which the deciding official makes
that determination, the agency head reverses the determination
of the deciding official, in which case the decision of the
agency head shall be the final agency decision.
(4) The final decision of an agency under paragraph (3)
shall be final and not subject to any appeal or challenge,
except that the President may overrule that final decision of
the agency in accordance with such procedures or regulations as
the President may prescribe.
(d) Application.--Chapter 43 of title 5, United States Code, shall
not apply to any personnel action taken with respect to an employee
under this Act.
(e) Abolishment of MSPB.--
(1) In general.--Effective on the date of enactment of this
Act, the Merit Systems Protection Board (referred to in this
subsection as the ``Board'') is hereby abolished.
(2) Disposal of assets, obligations, and liabilities.--The
Chairman of the Board may take such actions as are necessary to
dispose of the assets, obligations, and liabilities of the
Board.
(f) Technical and Conforming Amendments.--
(1) Repeal.--The following provisions of title 5, United
States Code, are hereby repealed:
(A) Subchapter I of chapter 12.
(B) Section 1212(c).
(C) With respect to section 1214, the following
provisions:
(i) Subsection (b)(1).
(ii) Subparagraphs (B) through (D) of
subsection (b)(2).
(iii) Paragraphs (3) and (4) of subsection
(b).
(iv) Subsections (c), (g), and (i).
(D) Sections 1215 and 1221.
(E) Section 4303.
(F) Chapter 75.
(G) Chapter 77.
(2) Other amendments.--Chapter 71 of title 5, United States
Code, is amended--
(A) in section 7103(a)(14)--
(i) by redesignating subparagraphs (B) and
(C) as subparagraphs (C) and (D), respectively;
and
(ii) by inserting after subparagraph (A)
the following:
``(B) relating to adverse personnel actions, as
provided by the Public Service Reform Act;''; and
(B) in section 7121(c), by amending paragraph (3)
to read as follows:
``(3) any adverse personnel action under the Public Service
Reform Act;''.
(g) Whistleblower Protections.--
(1) In general.--During the period described in subsection
(c)(1)(B), the Office of Special Counsel may make a
recommendation to the applicable agency head or deciding
official (as described in subsection (c)(2)) regarding whether
an adverse personnel action proposed against an individual was
in retaliation for making a disclosure described in section
2302(b)(8) of title 5, United States Code.
(2) Appeal.--
(A) In general.--An individual in a covered
position who is subject to an adverse personnel action
and who claims that action was taken for a reason
prohibited under paragraph (8) or (9) of section
2302(b) of title 5, United States Code, may appeal that
action to the United States court of appeals in the
circuit in which the duty station of the individual is
located.
(B) Decision.--
(i) Frivolous or bad faith appeal.--If the
court, in an appeal brought by an individual
under subparagraph (A), finds that the appeal
is brought in bad faith or is frivolous, the
annuity of the individual under chapter 83 or
84 of title 5, United States Code, shall be
reduced by 25 percent.
(ii) Successful appeal.--If an individual
prevails in an appeal brought under
subparagraph (A), the individual shall--
(I) be placed, as nearly as
possible, in the position the
individual would have been in had the
adverse personnel action not been taken
against the individual; and
(II) be reimbursed for--
(aa) attorney fees, back
pay, and related benefits in
accordance with section 5596 of
title 5, United States Code;
and
(bb) medical costs
incurred, travel expenses, any
other reasonable and
foreseeable consequential
damages, and compensatory
damages (including interest,
reasonable expert witness fees,
and costs).
(h) EEOC Appeals.--Notwithstanding any other provision of law,
including section 717 of the Civil Rights Act of 1964 (42 U.S.C. 2000e-
16), an individual who is an employee (or an applicant for a position
as an employee) and who alleges that the individual was subject to an
adverse personnel action that is a prohibited personnel action
described in section 2302(b)(1) of title 5, United States Code, shall
seek relief for that action from the Equal Employment Opportunity
Commission as if that individual were an employee of an employer, as
that term is defined in section 701 of the Civil Rights Act of 1964 (42
U.S.C. 2000e).
<all>
</pre></body></html>
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118HR3116 | Energy Consumer Protection Act of 2023 | [
[
"S001145",
"Rep. Schakowsky, Janice D. [D-IL-9]",
"sponsor"
],
[
"B001292",
"Rep. Beyer, Donald S., Jr. [D-VA-8]",
"cosponsor"
],
[
"C001117",
"Rep. Casten, Sean [D-IL-6]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3116 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3116
To amend the Federal Power Act and the Natural Gas Act with respect to
the enforcement of certain provisions, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. Schakowsky (for herself, Mr. Beyer, and Mr. Casten) introduced the
following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To amend the Federal Power Act and the Natural Gas Act with respect to
the enforcement of certain provisions, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Energy Consumer Protection Act of
2023''.
SEC. 2. PROHIBITIONS AND SUSPENSIONS FOR VIOLATIONS.
(a) Amendments to the Federal Power Act.--
(1) Enforcement of certain provisions.--Section 316A of the
Federal Power Act (16 U.S.C. 825o-1) is amended by adding at
the end the following:
``(c) Prohibition or Suspension for Violations.--The Commission may
prohibit, conditionally or unconditionally, permanently or for such
period of time as the Commission determines to be appropriate, any
person who is engaged or has engaged in practices constituting a
violation of section 221 or 222 (and related rules and regulations)
from engaging, directly or indirectly, in the business of purchasing or
selling--
``(1) electric energy;
``(2) electric energy products, including financial
transmission rights; or
``(3) transmission services subject to the jurisdiction of
the Commission.''.
(2) Conforming amendments.--Section 314(d) of the Federal
Power Act (16 U.S.C. 825m(d)) is amended--
(A) in the matter preceding paragraph (1)--
(i) by striking ``individual'' and
inserting ``person''; and
(ii) by inserting ``or 222'' after
``section 221'';
(B) in paragraph (1), by inserting ``with respect
to a person who is an individual,'' before ``acting'';
and
(C) in paragraph (2)--
(i) in the matter preceding subparagraph
(A), by inserting ``, directly or indirectly,''
after ``engaging'';
(ii) in subparagraph (A), by striking ``;
or'' and inserting a semicolon;
(iii) by redesignating subparagraph (B) as
subparagraph (C); and
(iv) by inserting after subparagraph (A)
the following:
``(B) electric energy products, including financial
transmission rights; or''.
(b) Amendments to Natural Gas Act.--
(1) Prohibition on filing false information.--The Natural
Gas Act (15 U.S.C. 717 et seq.) is amended by inserting after
section 4A the following:
``SEC. 4B. PROHIBITION ON FILING FALSE INFORMATION.
``No person shall willfully and knowingly report to a Federal
agency or private-sector price-reporting agency, with intent to
fraudulently affect the data being compiled by the Federal agency or
private-sector price-reporting agency, any information relating to the
transportation or sale of natural gas subject to the jurisdiction of
the Commission (including information relating to the availability and
prices of natural gas sold at wholesale and in interstate commerce and
information relating to the operation of facilities for the
transportation and sale of natural gas at wholesale and in interstate
commerce) that the person knows to be false at the time of the
reporting.''.
(2) Civil penalty authority.--Section 22 of the Natural Gas
Act (15 U.S.C. 717t-1) is amended by adding at the end the
following:
``(d) Prohibition or Suspension for Violations.--The Commission may
prohibit, conditionally or unconditionally, permanently or for such
period of time as the Commission determines to be appropriate, any
person who is engaged or has engaged in practices constituting a
violation of section 4A or 4B (including related rules and regulations)
from engaging, directly or indirectly, in the business of purchasing or
selling--
``(1) natural gas; or
``(2) transmission services subject to the jurisdiction of
the Commission.''.
(3) Conforming amendments.--Section 20(d) of the Natural
Gas Act (15 U.S.C. 717s(d)) is amended--
(A) in the matter preceding paragraph (1), by
striking ``individual'' and inserting ``person'';
(B) in paragraph (1), by inserting ``with respect
to a person who is an individual,'' before ``acting'';
and
(C) in paragraph (2), in the matter preceding
subparagraph (A), by inserting ``, directly or
indirectly,'' after ``engaging''.
<all>
</pre></body></html>
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118HR3117 | Hotel to Housing Conversion Act of 2023 | [
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[
"C001059... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3117 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3117
To establish a program for the Secretary of Housing and Urban
Development to make grants to States and continua of care to carry out
conversions of structures for use as emergency shelters and housing for
homeless persons and families, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Schiff (for himself, Mr. Vargas, and Mr. Mullin) introduced the
following bill; which was referred to the Committee on Financial
Services
_______________________________________________________________________
A BILL
To establish a program for the Secretary of Housing and Urban
Development to make grants to States and continua of care to carry out
conversions of structures for use as emergency shelters and housing for
homeless persons and families, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Hotel to Housing Conversion Act of
2023''.
SEC. 2. GRANTS FOR CONVERTING STRUCTURES FOR USE AS EMERGENCY SHELTERS
AND HOUSING FOR HOMELESS PERSONS AND FAMILIES.
(a) Authority.--The Secretary of Housing and Urban Development
shall carry out a program under this section to make grants to States
and continua of care for distribution to units of local government and
private nonprofit organizations to assist in carrying out conversions
of structures for use as emergency, temporary, and transitional housing
and emergency shelters for homeless persons and families.
(b) Use of Grant Amounts.--Amounts from a grant under this section
shall be used only in connection with the conversion of hotels, motels,
or vacant, blighted, or unused residential properties for use as
housing or shelter as provided in subsection (a), including for--
(1) the acquisition (by purchase or lease), rehabilitation,
renovation, or other conversion of such structures;
(2) operating costs in connection with use of such
structures as housing or shelters; and
(3) providing supportive services, as such term is defined
in section 401 of the McKinney-Vento Homeless Assistance Act
(42 U.S.C. 11360), homelessness prevention services, and
housing counseling services in connection with the converted
housing or shelter.
(c) Application; Selection.--The Secretary shall provide for States
and continua of care to apply for grants under this section and shall
select States and continua of care to receive such grants based on a
competition that takes into account--
(1) the level of housing instability in the jurisdiction of
the applicant and the need--
(A) for emergency, transitional, or permanent
housing or emergency shelters for homeless persons and
families;
(B) to address safety and public health needs of
such persons and families; and
(C) for supportive services for such persons and
families; and
(2) the effectiveness of the proposed method of
distribution of grant amounts to units of local government and
private nonprofit organizations in addressing such needs.
(d) Reports.--The Secretary shall require each recipient of a grant
under this section to submit a report to the Secretary, upon the
expiration of the 12-month period beginning upon the award of such
grant, detailing how grant amounts were used and describing the effect
of such use on the level of homelessness in the jurisdiction of the
recipient.
(e) Definitions.--For purposes of this section, the following
definitions shall apply:
(1) Continuum of care.--The term ``continuum of care''
means a collaborative applicant established and operating for a
geographic area for purposes of the Continuum of Care Program
under subtitle C of title IV of the McKinney-Vento Homeless
Assistance Act (42 U.S.C. 11381 et seq.).
(2) Emergency housing.--The term ``emergency housing''
means housing that is provided on a short-term and temporary
basis to address emergency situations. Such term does not
include transitional or permanent housing, as such terms are
defined in section 401 of the McKinney-Vento Homeless
Assistance Act (42 U.S.C. 11360).
(3) Emergency shelter; private nonprofit organization;
state.--The terms ``emergency shelter'', ``private nonprofit
organization'', and ``State'' have the meanings given such
terms in section 321 of the McKinney-Vento Homeless Assistance
Act (42 U.S.C. 11351).
(4) Homeless.--The term ``homeless'' has the meaning given
such term in section 103 of the McKinney-Vento Homeless
Assistance Act (42 U.S.C. 11302).
(5) Secretary.--The term ``Secretary'' means the Secretary
of Housing and Urban Development.
(6) Permanent housing; transitional housing.--The terms
``permanent housing'' and ``transitional housing'' have the
meanings given such term in section 401 of the McKinney-Vento
Homeless Assistance Act (42 U.S.C. 11360).
(f) Authorization of Appropriations.--There is authorized to be
appropriated for grants under this section $750,000,000 for each of
fiscal years 2024 through 2028.
<all>
</pre></body></html>
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118HR3118 | Home Dialysis Risk Prevention Act | [
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"S001172",
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"sponsor"
],
[
"S001218",
"Rep. Stansbury, Melanie Ann [D-NM-1]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3118 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3118
To amend title XVIII of the Social Security Act to provide for Medicare
coverage of monitoring devices to detect and alarm when a venous needle
dislodgement occurs during home dialysis for hemodialysis patients.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Smith of Nebraska (for himself and Ms. Stansbury) introduced the
following bill; which was referred to the Committee on Energy and
Commerce, and in addition to the Committee on Ways and Means, for a
period to be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To amend title XVIII of the Social Security Act to provide for Medicare
coverage of monitoring devices to detect and alarm when a venous needle
dislodgement occurs during home dialysis for hemodialysis patients.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Home Dialysis Risk Prevention Act''.
SEC. 2. PROVIDING FOR COVERAGE OF MONITORING AND ALARM DEVICES TO
DETECT VENOUS NEEDLE DISLODGEMENT FOR HEMODIALYSIS
PATIENTS.
Section 1881(b)(14) of the Social Security Act (42 U.S.C.
1395rr(b)(14)) is amended by adding at the end the following new
subparagraph:
``(J)(i) For home dialysis services and equipment furnished to new
and respite individuals on or after the date that is 1 year after the
date of the enactment of this subparagraph which are monitoring and
alarm devices for venous needle dislodgement (as defined in clause
(iii)(II)), the Secretary shall increase the single payment that would
otherwise apply under this paragraph for such services by the amount
determined under the payment system established under clause (ii).
``(ii) The Secretary shall establish a prospective payment system
through regulations to determine the amounts payable for monitoring and
alarm devices and supplies to detect venous needle dislodgements for
individuals receiving home dialysis. In establishing such system, the
Secretary may consult with device manufacturers, health professionals,
dialysis patients, private payers, and MA plans and may consider--
``(I) the costs of furnishing the monitoring and alarm
device and necessary supplies;
``(II) payment amounts for similar items and services under
parts A and B; and
``(III) payment amounts established by MA plans under part
C, group health plans, and health insurance coverage offered by
health insurance issuers.
``(iii) In this subparagraph:
``(I) The term `new and respite individual' means an
individual described in subsection (a) who is initiating home
hemodialysis.
``(II) The term `monitoring and alarm devices for venous
needle dislodgement' means a blood loss detection solution
specifically designed to detect blood leakage through core
technology utilizing fiber optics. The detected blood triggers
a visual and audible alarm.
``(III) The terms `group health plan', `health insurance
coverage', and `health insurance issuer' have the meaning given
such terms in section 2791 of the Public Health Service Act.''.
<all>
</pre></body></html>
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118HR3119 | To provide for the issuance of a Manatee Semipostal Stamp. | [
[
"S001200",
"Rep. Soto, Darren [D-FL-9]",
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3119 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3119
To provide for the issuance of a Manatee Semipostal Stamp.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Soto (for himself and Mrs. Gonzalez-Colon) introduced the following
bill; which was referred to the Committee on Oversight and
Accountability, and in addition to the Committee on Natural Resources,
for a period to be subsequently determined by the Speaker, in each case
for consideration of such provisions as fall within the jurisdiction of
the committee concerned
_______________________________________________________________________
A BILL
To provide for the issuance of a Manatee Semipostal Stamp.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. MANATEE SEMIPOSTAL STAMP.
(a) In General.--The United States Postal Service shall issue a
semipostal stamp (hereinafter in this Act referred to as the ``Manatee
Semipostal Stamp'') in accordance with this section.
(b) Terms and Conditions.--The issuance and sale of the Manatee
Semipostal Stamp shall be governed by the provisions of section 416 of
title 39, United States Code, and regulations issued under such
section.
(c) Disposition of Proceeds.--
(1) In general.--All amounts becoming available from the
sale of the Manatee Semipostal Stamp (as determined under
section 416(d) of such title 39) shall be transferred to the
United States Fish and Wildlife Service, for purposes of
conserving manatees and manatee habitat in the United States,
through payments which shall be made at least twice a year.
(2) Proceeds not to be offset.--In accordance with section
416(d)(4) of such title 39, amounts becoming available from the
sale of the Manatee Semipostal Stamp (as so determined) shall
not be taken into account in any decision relating to the level
of appropriations or other Federal funding to be furnished in
any year to the United States Fish and Wildlife Service.
(d) Duration.--The Manatee Semipostal Stamp shall be made available
to the public for a period of at least 2 years, beginning no later than
12 months after the date of the enactment of this Act.
(e) Definition.--For purposes of this Act, the term ``semipostal
stamp'' refers to a stamp described in section 416(a)(1) of title 39,
United States Code.
<all>
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118HR312 | Emergency Savings Accounts Act of 2023 | [
[
"C001115",
"Rep. Cloud, Michael [R-TX-27]",
"sponsor"
]
] | <p><b>Emergency Savings Accounts Act of 2023</b></p> <p>This bill allows an individual taxpayer occupying a residence a deduction from gross income for up to $5,000 of amounts paid into such taxpayer's emergency savings account. The bill defines <i>emergency savings account</i> as an account established exclusively to pay the qualified disaster and public health emergency expenses of the account beneficiary. </p> <p>The bill defines <i>qualified disaster and public health emergency expenses</i> as disaster mitigation expenses, disaster recovery expenses, public health emergency expenses, and unemployment-related expenses.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 312 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 312
To amend the Internal Revenue Code of 1986 to provide emergency savings
accounts for individuals.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 12, 2023
Mr. Cloud introduced the following bill; which was referred to the
Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to provide emergency savings
accounts for individuals.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Emergency Savings Accounts Act of
2023''.
SEC. 2. DEDUCTION FOR CONTRIBUTIONS TO EMERGENCY SAVINGS ACCOUNTS.
(a) In General.--Part VII of subchapter B of chapter 1 of the
Internal Revenue Code of 1986 (relating to additional itemized
deductions for individuals) is amended by redesignating section 224 as
section 225 and by inserting after section 223 the following new
section:
``SEC. 224. EMERGENCY SAVINGS ACCOUNTS.
``(a) Deduction Allowed.--In the case of a eligible individual,
there shall be allowed as a deduction for the taxable year an amount
equal to the aggregate amount paid during such taxable year by or on
behalf of such individual to an emergency savings account of such
individual.
``(b) Limitation.--
``(1) In general.--The amount allowed as a deduction under
subsection (a) to an individual for the taxable year shall not
exceed $5,000.
``(2) Partial year of eligibility.--In the case of an
individual who is an eligible individual for only a portion of
the taxable year, the limitation under paragraph (1) shall be
same proportion of $5,000 as such portion bears to the entire
taxable year.
``(c) Eligible Individual.--For purposes of this section, the term
`eligible individual' means any individual if such individual occupied
any residence in the United States at any time during the taxable year.
``(d) Emergency Savings Account.--For purposes of this section--
``(1) In general.--The term `emergency savings account'
means a trust created or organized in the United States as an
emergency savings account exclusively for the purpose of paying
the qualified disaster and public health emergency expenses of
the account beneficiary, but only if the written governing
instrument creating the trust meets the following requirements:
``(A) Except in the case of a rollover contribution
described in subsection (f)(5), no contribution will be
accepted--
``(i) unless it is in cash, or
``(ii) to the extent such contribution,
when added to previous contributions to the
trust for the calendar year, exceeds the dollar
limitation in effect under subsection (b).
``(B) The trustee is a bank (as defined in section
408(n)), an insurance company (as defined in section
816), or another person who demonstrates to the
satisfaction of the Secretary that the manner in which
such person will administer the trust will be
consistent with the requirements of this section.
``(C) No part of the trust assets will be invested
in life insurance contracts.
``(D) The assets of the trust will not be
commingled with other property except in a common trust
fund or common investment fund.
``(E) The interest of an individual in the balance
in his account is nonforfeitable.
``(2) Qualified disaster and public health emergency
expenses.--The term `qualified disaster and public health
emergency expenses' means--
``(A) disaster mitigation expenses,
``(B) disaster recovery expenses,
``(C) public health emergency expenses, and
``(D) unemployment related expenses.
``(3) Disaster mitigation expenses.--The term `disaster
mitigation expenses' means expenses for any of the following
with respect to the residence referred to in subsection (c):
``(A) Tornado safe rooms manufactured or
constructed in accordance with FEMA 320 or FEMA 361
guidance or tornado shelters manufactured or
constructed in accordance with the National Storm
Shelter/International Code Council 500 standard.
``(B) Opening protection, including impact and wind
resistant windows, exterior doors, and garage doors.
``(C) Reinforcement of roof-to-wall and floor-to-
wall connections for wind or seismic activity.
``(D) Roof covering for impact, fire, or high wind
resistance.
``(E) Cripple and shear walls to resist seismic
activity.
``(F) Flood resistant building materials.
``(G) Elevating structures and utilities above base
flood elevation.
``(H) Fire resistant exterior wall assemblies/
systems.
``(I) Lightning protection systems.
``(J) Whole home standby generators.
``(K) Any activity specified by the Secretary as
appropriate to mitigate the risks of future hazards
(including earthquake, flood, hail, hurricane,
sinkhole, lightning, power outage, tornado, and
wildfire) and other natural disasters.
``(4) Disaster recovery expenses.--The term `disaster
recovery expenses' means with respect to the residence referred
to in subsection (c) any expense incurred to replace or repair
disaster-related uninsured personal casualty personal losses
totaling $1,000 or greater.
``(5) Disaster-related uninsured personal casualty loss.--
The term `disaster-related uninsured personal casualty loss'
means a personal casualty loss (as defined in section
165(h)(3)(B), determined without regard to the second sentence
thereof) attributable to a State or federally declared disaster
for which a deduction is allowable under section 165 (without
regard to subsection (h)(1)).
``(6) Federally declared disaster.--The term `federally
declared disaster' has the meaning given such term by section
165(i)(5).
``(7) Public health emergency expenses.--The term `public
health emergency expenses' means expenses for any of the
following with respect to an individual referred to in
subsection (c) if paid or incurred while a public health
emergency declaration is in effect and while such individual is
unemployed or has their employment status reduced from full-
time status:
``(A) Child care expenses.
``(B) Out-of-pocket health care costs, including
insurance premiums.
``(C) Housing expenses including mortgage, rent, or
property taxes.
``(D) Utilities.
``(8) Public health emergency declaration.--The term
`public health emergency declaration' means any declaration of
a public health emergency by the Secretary of Health and Human
Services under section 319 of the Public Health Service Act (42
U.S.C. 247d).
``(9) Unemployment related expenses.--The term
`unemployment related expenses' means, in the case of an
account beneficiary with any period of unemployment during the
taxable year, any expenses during such taxable year which, in
the aggregate, do not exceed $500.
``(10) Account beneficiary.--The term `account beneficiary'
means the individual on whose behalf the emergency savings
account was established.
``(e) Treatment of Account.--
``(1) In general.--An emergency savings account is exempt
from taxation under this subtitle unless such account has
ceased to be an emergency savings account. Notwithstanding the
preceding sentence, any such account is subject to the taxes
imposed by section 511 (relating to imposition of tax on
unrelated business income of charitable, etc. organizations).
``(2) Account terminations.--Rules similar to the rules of
paragraphs (2) and (4) of section 408(e) shall apply to
emergency savings accounts, and any amount treated as
distributed under such rules shall be treated as not used to
pay qualified disaster and public health emergency expenses.
``(f) Tax Treatment of Distributions.--
``(1) Amounts used for qualified disaster and public health
emergency expenses.--Any amount paid or distributed out of an
emergency savings account which is used exclusively to pay
qualified disaster and public health emergency expenses of any
account beneficiary shall not be includible in gross income.
``(2) Inclusion of amounts not used for qualified disaster
and public health emergency expenses.--Any amount paid or
distributed out of an emergency savings account which is not
used exclusively to pay the qualified disaster and public
health emergency expenses of the account beneficiary shall be
included in the gross income of such beneficiary.
``(3) Excess contributions returned before due date of
return.--
``(A) In general.--If any excess contribution is
contributed for a taxable year to any emergency savings
account of an individual, paragraph (2) shall not apply
to distributions from the emergency savings accounts of
such individual (to the extent such distributions do
not exceed the aggregate excess contributions to all
such accounts of such individual for such year) if--
``(i) such distribution is received by the
individual on or before the last day prescribed
by law (including extensions of time) for
filing such individual's return for such
taxable year, and
``(ii) such distribution is accompanied by
the amount of net income attributable to such
excess contribution.
Any net income described in clause (ii) shall be
included in the gross income of the individual for the
taxable year in which it is received.
``(B) Excess contribution.--For purposes of
subparagraph (A), the term `excess contribution' means
any contribution (other than a rollover contribution
described in paragraph (5)) which is not deductible
under this section.
``(4) Additional tax on distributions not used for
qualified disaster and public health emergency expenses.--
``(A) In general.--The tax imposed by this chapter
on the account beneficiary for any taxable year in
which there is a payment or distribution from an
emergency savings account of such beneficiary which is
includible in gross income under paragraph (2) shall be
increased by 20 percent of the amount which is so
includible.
``(B) Exception for disability or death.--
Subparagraph (A) shall not apply if the payment or
distribution is made after the account beneficiary
becomes disabled within the meaning of section 72(m)(7)
or dies.
``(5) Rollover contribution.--An amount is described in
this paragraph as a rollover contribution if it meets the
requirements of subparagraphs (A) and (B).
``(A) In general.--Paragraph (2) shall not apply to
any amount paid or distributed from an emergency
savings account to the account beneficiary to the
extent the amount received is paid into an emergency
savings account for the benefit of such beneficiary not
later than the 60th day after the day on which the
beneficiary receives the payment or distribution.
``(B) Limitation.--This paragraph shall not apply
to any amount described in subparagraph (A) received by
an individual from an emergency savings account if, at
any time during the 1-year period ending on the day of
such receipt, such individual received any other amount
described in subparagraph (A) from an emergency savings
account which was not includible in the individual's
gross income because of the application of this
paragraph.
``(g) Cost-of-Living Adjustment.--
``(1) In general.--In the case of any taxable year
beginning in a calendar year after 2023, each $5,000 amount in
subsection (b) and the $3,000 amount in subsection (d)(4) shall
be increased by an amount equal to--
``(A) such dollar amount, multiplied by
``(B) the cost-of-living adjustment determined
under section 1(f)(3) for the calendar year in which
such taxable year begins determined by substituting
`calendar year 2022' for `calendar year 2016' in
subparagraph (A)(ii) thereof.
``(2) Rounding.--If any increase under paragraph (1) is not
a multiple of $50, such increase shall be rounded to the
nearest multiple of $50.
``(h) Special Rules.--
``(1) Denial of deduction to dependents.--No deduction
shall be allowed under this section to any individual with
respect to whom a deduction under section 151 is allowable to
another taxpayer for a taxable year beginning in the calendar
year in which such individual's taxable year begins.
``(2) Taxable year must be full taxable year.--Except in
the case of a taxable year closed by reason of the death of the
taxpayer, no deduction shall be allowed under this section in
the case of a taxable year covering a period of less than 12
months.
``(3) Certain rules to apply.--Rules similar to the
following rules shall apply for purposes of this section:
``(A) Section 219(d)(2) (relating to no deduction
for rollovers).
``(B) Section 219(f)(3) (relating to time when
contributions deemed made).
``(C) Section 219(f)(5) (relating to employer
payments).
``(D) Section 408(g) (relating to community
property laws).
``(E) Section 408(h) (relating to custodial
accounts).
``(F) Section 223(f)(7) (relating to transfer of
account incident to divorce).
``(G) Section 223(f)(8) (relating to treatment
after death of account beneficiary).
``(4) Coordination with casualty loss deduction.--No
deduction shall be allowed under section 165 for a loss for
which a disaster recovery expense payment is made from an
emergency savings account.
``(i) Reports.--The Secretary may require the trustee of an
emergency savings account to make such reports regarding such account
to the Secretary and to the account beneficiary with respect to
contributions, distributions, the return of excess contributions, and
such other matters as the Secretary determines appropriate.''.
(b) Deduction Allowed Whether or Not Individual Itemizes Other
Deductions.--Section 62(a) of such Code is amended by inserting after
paragraph (21) the following new paragraph:
``(22) Emergency savings accounts.--The deduction allowed
by section 224.''.
(c) Tax on Excess Contributions.--Section 4973 of such Code
(relating to tax on excess contributions to certain tax-favored
accounts and annuities) is amended--
(1) by striking ``or'' at the end of subsection (a)(5), by
inserting ``or'' at the end of subsection (a)(6), and by
inserting after subsection (a)(6) the following new paragraph:
``(7) an emergency savings account (within the meaning of
section 224(d)),''; and
(2) by adding at the end the following new subsection:
``(i) Excess Contributions to Emergency Savings Accounts.--For
purposes of this section, in the case of emergency savings accounts
(within the meaning of section 224(d)), the term `excess contributions'
means the sum of--
``(1) the aggregate amount contributed for the taxable year
to the accounts (other than a rollover contribution described
in section 224(f)(5)) which is not allowable as a deduction
under section 224 for such year, and
``(2) the amount determined under this subsection for the
preceding taxable year, reduced by the sum of--
``(A) the distributions out of the accounts which
were included in gross income under section 224(f)(2),
and
``(B) the excess (if any) of--
``(i) the maximum amount allowable as a
deduction under section 224(b) for the taxable
year, over
``(ii) the amount contributed to the
accounts for the taxable year.
For purposes of this subsection, any contribution which
is distributed out of the emergency savings account in
a distribution to which section 224(f)(3) applies shall
be treated as an amount not contributed.''.
(d) Failure To Provide Reports on Emergency Savings Accounts.--
Section 6693(a)(2) of such Code is amended by redesignating
subparagraphs (D), (E), and (F) as subparagraphs (E), (F), and (G),
respectively, and by inserting after subparagraph (C) the following new
subparagraph:
``(D) section 224(i) (relating to emergency savings
accounts),''.
(e) Clerical Amendment.--The table of sections for part VII of
subchapter B of chapter 1 of such Code is amended by striking the last
item and inserting the following:
``Sec. 224. Emergency savings accounts.
``Sec. 225. Cross reference.''.
(f) Effective Date.--The amendments made by this section shall
apply to taxable years beginning after December 31, 2022.
<all>
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118HR3120 | Healthy Competition for Better Care Act | [
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"S001135",
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3120 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3120
To ban anticompetitive terms in facility and insurance contracts that
limit access to higher quality, lower cost care.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mrs. Steel introduced the following bill; which was referred to the
Committee on Energy and Commerce, and in addition to the Committees on
Education and the Workforce, and Ways and Means, for a period to be
subsequently determined by the Speaker, in each case for consideration
of such provisions as fall within the jurisdiction of the committee
concerned
_______________________________________________________________________
A BILL
To ban anticompetitive terms in facility and insurance contracts that
limit access to higher quality, lower cost care.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Healthy Competition for Better Care
Act''.
SEC. 2. BANNING ANTICOMPETITIVE TERMS IN FACILITY AND INSURANCE
CONTRACTS THAT LIMIT ACCESS TO HIGHER QUALITY, LOWER COST
CARE.
(a) In General.--
(1) PHSA.--Section 2799A-9 of the Public Health Service Act
(42 U.S.C. 300gg-119) is amended by adding at the end the
following:
``(b) Protecting Health Plans Network Design Flexibility.--
``(1) In general.--A group health plan or a health
insurance issuer offering group or individual health insurance
coverage shall not enter into an agreement with a provider,
network or association of providers, or other service provider
offering access to a network of service providers if such
agreement, directly or indirectly--
``(A) restricts the group health plan or health
insurance issuer from--
``(i) directing or steering enrollees to
other health care providers; or
``(ii) offering incentives to encourage
enrollees to utilize specific health care
providers;
``(B) requires the group health plan or health
insurance issuer to enter into any additional contract
with an affiliate of the provider as a condition of
entering into a contract with such provider;
``(C) requires the group health plan or health
insurance issuer to agree to payment rates or other
terms for any affiliate not party to the contract of
the provider involved; or
``(D) restricts other group health plans or health
insurance issuers not party to the contract, from
paying a lower rate for items or services than the
contracting plan or issuer pays for such items or
services.
``(2) Additional requirement for self-insured plans.--A
self-insured group health plan shall not enter into an
agreement with a provider, network or association of providers,
third-party administrator, or other service provider offering
access to a network of providers if such agreement directly or
indirectly requires the group health plan to certify, attest,
or otherwise confirm in writing that the group health plan is
bound by restrictive contracting terms between the service
provider and a third-party administrator that the group health
plan is not party to, without a disclosure that such terms
exist.
``(3) Exception for certain group model issuers.--Paragraph
(1)(A) shall not apply to a group health plan or health
insurance issuer offering group or individual health insurance
coverage with respect to--
``(A) a health maintenance organization (as defined
in section 2791(b)(3)), if such health maintenance
organization operates primarily through exclusive
contracts with multi-specialty physician groups, nor to
any arrangement between such a health maintenance
organization and its affiliates; or
``(B) a value-based network arrangement, such as an
exclusive provider network, accountable care
organization or other alternative payment model, center
of excellence, a provider sponsored health insurance
issuer that operates primarily through aligned multi-
specialty physician group practices or integrated
health systems, or such other similar network
arrangements as determined by the Secretary through
rulemaking.
``(4) Attestation.--A group health plan or health insurance
issuer offering group or individual health insurance coverage
shall annually submit to, as applicable, the applicable
authority described in section 2723 or the Secretary of Labor,
an attestation that such plan or issuer is in compliance with
the requirements of this subsection.
``(c) Maintenance of Existing HIPAA, GINA, and ADA Protections.--
Nothing in this section shall modify, reduce, or eliminate the existing
privacy protections and standards provided by reason of State and
Federal law, including the requirements of parts 160 and 164 of title
45, Code of Federal Regulations (or any successor regulations).
``(d) Regulations.--The Secretary, in consultation with the
Secretary of Labor and the Secretary of the Treasury, not later than 1
year after the date of enactment of this section, shall promulgate
regulations to carry out this section.
``(e) Rule of Construction.--Nothing in this section shall be
construed to limit network design or cost or quality initiatives by a
group health plan or health insurance issuer, including accountable
care organizations, exclusive provider organizations, networks that
tier providers by cost or quality or steer enrollees to centers of
excellence, or other pay-for-performance programs.
``(f) Clarification With Respect to Antitrust Laws.--Compliance
with this section does not constitute compliance with the antitrust
laws, as defined in subsection (a) of the first section of the Clayton
Act (15 U.S.C. 12(a)).''.
(2) ERISA.--Section 724 of the Employee Retirement Income
Security Act of 1974 (29 U.S.C. 1185m) is amended by adding at
the end the following:
``(b) Protecting Health Plans Network Design Flexibility.--
``(1) In general.--A group health plan or a health
insurance issuer offering group health insurance coverage shall
not enter into an agreement with a provider, network or
association of providers, or other service provider offering
access to a network of service providers if such agreement,
directly or indirectly--
``(A) restricts the group health plan or health
insurance issuer from--
``(i) directing or steering enrollees to
other health care providers; or
``(ii) offering incentives to encourage
enrollees to utilize specific health care
providers;
``(B) requires the group health plan or health
insurance issuer to enter into any additional contract
with an affiliate of the provider as a condition of
entering into a contract with such provider;
``(C) requires the group health plan or health
insurance issuer to agree to payment rates or other
terms for any affiliate not party to the contract of
the provider involved; or
``(D) restricts other group health plans or health
insurance issuers not party to the contract, from
paying a lower rate for items or services than the
contracting plan or issuer pays for such items or
services.
``(2) Additional requirement for self-insured plans.--A
self-insured group health plan shall not enter into an
agreement with a provider, network or association of providers,
third-party administrator, or other service provider offering
access to a network of providers if such agreement directly or
indirectly requires the group health plan to certify, attest,
or otherwise confirm in writing that the group health plan is
bound by restrictive contracting terms between the service
provider and a third-party administrator that the group health
plan is not party to, without a disclosure that such terms
exist.
``(3) Exception for certain group model issuers.--Paragraph
(1)(A) shall not apply to a group health plan or health
insurance issuer offering group health insurance coverage with
respect to--
``(A) a health maintenance organization (as defined
in section 733(b)(3)), if such health maintenance
organization operates primarily through exclusive
contracts with multi-specialty physician groups, nor to
any arrangement between such a health maintenance
organization and its affiliates; or
``(B) a value-based network arrangement, such as an
exclusive provider network, accountable care
organization or other alternative payment model, center
of excellence, a provider sponsored health insurance
issuer that operates primarily through aligned multi-
specialty physician group practices or integrated
health systems, or such other similar network
arrangements as determined by the Secretary through
rulemaking.
``(4) Attestation.--A group health plan or health insurance
issuer offering group health insurance coverage shall annually
submit to the Secretary of Labor an attestation that such plan
or issuer is in compliance with the requirements of this
subsection.
``(c) Maintenance of Existing HIPAA, GINA, and ADA Protections.--
Nothing in this section shall modify, reduce, or eliminate the existing
privacy protections and standards provided by reason of State and
Federal law, including the requirements of parts 160 and 164 of title
45, Code of Federal Regulations (or any successor regulations).
``(d) Regulations.--The Secretary, in consultation with the
Secretary of Health and Human Services and the Secretary of the
Treasury, not later than 1 year after the date of enactment of this
section, shall promulgate regulations to carry out this section.
``(e) Rule of Construction.--Nothing in this section shall be
construed to limit network design or cost or quality initiatives by a
group health plan or health insurance issuer, including accountable
care organizations, exclusive provider organizations, networks that
tier providers by cost or quality or steer enrollees to centers of
excellence, or other pay-for-performance programs.
``(f) Clarification With Respect to Antitrust Laws.--Compliance
with this section does not constitute compliance with the antitrust
laws, as defined in subsection (a) of the first section of the Clayton
Act (15 U.S.C. 12(a)).''.
(3) IRC.--Section 9824 of the Internal Revenue Code of 1986
is amended by adding at the end the following:
``(b) Protecting Health Plans Network Design Flexibility.--
``(1) In general.--A group health plan shall not enter into
an agreement with a provider, network or association of
providers, or other service provider offering access to a
network of service providers if such agreement, directly or
indirectly--
``(A) restricts the group health plan from--
``(i) directing or steering enrollees to
other health care providers; or
``(ii) offering incentives to encourage
enrollees to utilize specific health care
providers;
``(B) requires the group health plan to enter into
any additional contract with an affiliate of the
provider as a condition of entering into a contract
with such provider;
``(C) requires the group health plan to agree to
payment rates or other terms for any affiliate not
party to the contract of the provider involved; or
``(D) restricts other group health plans not party
to the contract, from paying a lower rate for items or
services than the contracting plan pays for such items
or services.
``(2) Additional requirement for self-insured plans.--A
self-insured group health plan shall not enter into an
agreement with a provider, network or association of providers,
third-party administrator, or other service provider offering
access to a network of providers if such agreement directly or
indirectly requires the group health plan to certify, attest,
or otherwise confirm in writing that the group health plan is
bound by restrictive contracting terms between the service
provider and a third-party administrator that the group health
plan is not party to, without a disclosure that such terms
exist.
``(3) Exception for certain group model issuers.--Paragraph
(1)(A) shall not apply to a group health plan with respect to--
``(A) a health maintenance organization (as defined
in section 9832(b)(3)), if such health maintenance
organization operates primarily through exclusive
contracts with multi-specialty physician groups, nor to
any arrangement between such a health maintenance
organization and its affiliates; or
``(B) a value-based network arrangement, such as an
exclusive provider network, accountable care
organization or other alternative payment model, center
of excellence, a provider sponsored health insurance
issuer that operates primarily through aligned multi-
specialty physician group practices or integrated
health systems, or such other similar network
arrangements as determined by the Secretary through
rulemaking.
``(4) Attestation.--A group health plan shall annually
submit to the Secretary of Labor an attestation that such plan
is in compliance with the requirements of this subsection.
``(c) Maintenance of Existing HIPAA, GINA, and ADA Protections.--
Nothing in this section shall modify, reduce, or eliminate the existing
privacy protections and standards provided by reason of State and
Federal law, including the requirements of parts 160 and 164 of title
45, Code of Federal Regulations (or any successor regulations).
``(d) Regulations.--The Secretary, in consultation with the
Secretary of Health and Human Services and the Secretary of Labor, not
later than 1 year after the date of enactment of this section, shall
promulgate regulations to carry out this section.
``(e) Rule of Construction.--Nothing in this section shall be
construed to limit network design or cost or quality initiatives by a
group health plan, including accountable care organizations, exclusive
provider organizations, networks that tier providers by cost or quality
or steer enrollees to centers of excellence, or other pay-for-
performance programs.
``(f) Clarification With Respect to Antitrust Laws.--Compliance
with this section does not constitute compliance with the antitrust
laws, as defined in subsection (a) of the first section of the Clayton
Act (15 U.S.C. 12(a)).''.
(b) Effective Date.--The amendments made by subsection (a) shall
apply with respect to any contract entered into on or after the date
that is 18 months after the date of enactment of this Act. With respect
to an applicable contract that is in effect on the date of enactment of
this Act, such amendments shall apply on the earlier of the date of
renewal of such contract or 3 years after such date of enactment.
<all>
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118HR3121 | Journalist Protection Act | [
[
"S001193",
"Rep. Swalwell, Eric [D-CA-14]",
"sponsor"
],
[
"N000147",
"Del. Norton, Eleanor Holmes [D-DC-At Large]",
"cosponsor"
],
[
"K000375",
"Rep. Keating, William R. [D-MA-9]",
"cosponsor"
],
[
"M001160",
"Rep. Moore, Gwen [D-WI-4]",
"cosponsor"
]... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3121 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3121
To amend title 18, United States Code, to provide a penalty for assault
against journalists, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Swalwell (for himself, Ms. Norton, Mr. Keating, and Ms. Moore of
Wisconsin) introduced the following bill; which was referred to the
Committee on the Judiciary
_______________________________________________________________________
A BILL
To amend title 18, United States Code, to provide a penalty for assault
against journalists, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Journalist Protection Act''.
SEC. 2. ASSAULT AGAINST JOURNALISTS.
(a) In General.--Chapter 7 of title 18, United States Code, is
amended by adding at the end the following:
``Sec. 120. Assault against journalists
``(a) Definitions.--In this section:
``(1) Bodily injury; serious bodily injury.--The terms
`bodily injury' and `serious bodily injury' have the meanings
given those terms in section 1365(h).
``(2) Journalist.--The term `journalist' means an
individual who--
``(A) is an employee, independent contractor, or
agent of an entity or service that disseminates news or
information--
``(i) by means of a newspaper, nonfiction
book, wire service, news agency, news website,
mobile application or other news or information
service (whether distributed digitally or
otherwise), news program, magazine, or other
periodical (whether in print, electronic, or
other format); or
``(ii) through a television broadcast,
radio broadcast, multichannel video programming
distributor (as defined in section 602 of the
Communications Act of 1934 (47 U.S.C. 522)), or
motion picture for public showing; and
``(B) engages in newsgathering with the primary
intent to investigate an event or procure material in
order to disseminate to the public news or information
concerning a local, national, or international event or
other matter of public interest.
``(3) Newsgathering.--The term `newsgathering' means
engaging in regular gathering, preparation, collection,
photographing, recording, writing, editing, reporting, or
publishing concerning a local, national, or international event
or other matter of public interest.
``(b) Prohibited Conduct.--Whoever, in or affecting interstate or
foreign commerce, intentionally commits, or attempts to commit--
``(1) an act described in subsection (c) shall be fined
under this title or imprisoned not more than 3 years, or both;
or
``(2) an act described in subsection (d) shall be fined
under this title or imprisoned not more than 6 years, or both.
``(c) Bodily Injury to a Journalist.--An act described in this
subsection is an act--
``(1) that causes bodily injury to an individual who is a
journalist;
``(2) committed with knowledge or reason to know the
individual is a journalist; and
``(3) committed--
``(A) while the journalist is taking part in
newsgathering; or
``(B) with the intention of intimidating or
impeding newsgathering by the journalist.
``(d) Serious Bodily Injury to a Journalist.--An act described in
this subsection is an act--
``(1) that causes serious bodily injury to an individual
who is a journalist;
``(2) committed with knowledge or reason to know the
individual is a journalist; and
``(3) committed--
``(A) while the journalist is taking part in
newsgathering; or
``(B) with the intention of intimidating or
impeding newsgathering by the journalist.''.
(b) Clerical Amendment.--The table of sections for chapter 7 of
title 18, United States Code, is amended by adding at the end the
following:
``120. Assault against journalists.''.
<all>
</pre></body></html>
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118HR3122 | Gun Show Loophole Closing Act of 2023 | [
[
"T000472",
"Rep. Takano, Mark [D-CA-39]",
"sponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3122 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3122
To require criminal background checks on all firearms transactions
occurring at gun shows.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Takano introduced the following bill; which was referred to the
Committee on the Judiciary
_______________________________________________________________________
A BILL
To require criminal background checks on all firearms transactions
occurring at gun shows.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Gun Show Loophole Closing Act of
2023''.
SEC. 2. GUN SHOW BACKGROUND CHECK.
(a) Findings.--The Congress finds that--
(1) approximately 5,200 traditional gun shows are held
annually across the United States, attracting thousands of
attendees per show and hundreds of Federal firearms licensees
and unlicensed firearms sellers; and
(2) gun shows at which firearms are exhibited or offered
for sale or exchange provide a convenient and centralized
commercial location where criminals and other prohibited
persons obtain firearms without background checks and without
records that enable firearm tracing.
(b) Definitions.--Section 921(a) of title 18, United States Code,
is amended by adding at the end the following:
``(38) Gun Show.--The term `gun show'--
``(A) means any event at which 50 or more firearms are
offered or exhibited for sale, exchange, or transfer, if 1 or
more of the firearms has been shipped or transported in, or
otherwise affects, interstate or foreign commerce;
``(B) does not include an offer or exhibit of firearms for
sale, exchange, or transfer by an individual from the personal
collection of that individual, at the private residence of that
individual, if the individual is not required to be licensed
under section 923; and
``(C) does not include an offer or exhibit of firearms for
sale, exchange, or transfer at events--
``(i) where not more than 100 firearms are offered
or exhibited for sale, exchange, or transfer;
``(ii) that are conducted by private, not-for-
profit organizations whose primary purpose is owning
and maintaining real property for the purpose of
hunting activities; and
``(iii) that are attended only by permanent or
annual dues-paying members of the organizations, and
the members of the immediate families of the dues-
paying members.
``(39) Gun Show Vendor.--The term `gun show vendor' means a person
who is not licensed under section 923 and who exhibits, sells, offers
for sale, transfers, or exchanges a firearm at a gun show, regardless
of whether or not the person arranges with the gun show operator for a
fixed location from which to exhibit, sell, offer for sale, transfer,
or exchange the firearm.''.
(c) Regulation of Firearms Transfers at Gun Shows.--
(1) In general.--Chapter 44 of such title is amended by
adding at the end the following:
``Sec. 935. Regulation of firearms transfers at gun shows
``(a) Registration of Gun Show Operators.--It shall be unlawful for
a person to operate a gun show, unless--
``(1) the person has attained 21 years of age;
``(2) the person (and, if the person is a corporation,
partnership, or association, each individual possessing,
directly or indirectly, the power to direct or cause the
direction of the management and policies of the corporation,
partnership, or association) is not prohibited by subsection
(g) or (n) of section 922 from transporting, shipping, or
receiving firearms or ammunition in interstate or foreign
commerce;
``(3) the person has not willfully violated any provision
of this chapter or regulation issued under this chapter;
``(4) the person has registered with the Attorney General
as a gun show operator, in accordance with regulations
promulgated by the Attorney General, and as part of the
registration--
``(A) has provided the Attorney General with a
photograph and the fingerprints of the person; and
``(B) has certified that the person meets the
requirements of subparagraphs (A) through (D) of
section 923(d)(1);
``(5) the person has not willfully failed to disclose any
material information required, and has not made any false
statement as to any material fact, in connection with the
registration; and
``(6) the person has paid the Attorney General a fee for
the registration, in an amount determined by the Attorney
General.
``(b) Responsibilities of Gun Show Operators.--
``(1) In general.--It shall be unlawful for a person to
operate a gun show, unless the person--
``(A) not later than 30 days before the
commencement of the gun show, notifies the Attorney
General, in writing, of the date, time, duration, and
location of the gun show, and the identity of each
person who will be a gun show vendor at the gun show;
``(B) before commencement of the gun show--
``(i) verifies the identity of each
individual who will be a gun show vendor at the
gun show by examining a valid identification
document (as defined in section 1028(d)(3)) of
the individual containing a photograph of the
individual; and
``(ii) requires each such individual to
sign--
``(I) a ledger, and enter into the
ledger identifying information
concerning the individual; and
``(II) a notice which sets forth
the obligations of a gun show vendor
under this chapter; and
``(C) notifies each person who attends the gun show
of the requirements of this chapter, in accordance with
such regulations as the Attorney General shall
prescribe.
``(2) Recordkeeping.--A person who operates, or has
operated, a gun show shall maintain records demonstrating
compliance with paragraph (1)(B), at such place, for such
period of time, and in such form as the Attorney General shall
require by regulation, or transmit the records to the Attorney
General.
``(c) Background Check Required Before Transfer of Firearm Between
Unlicensed Persons.--It shall be unlawful for a person who is not
licensed under this chapter to transfer possession of, or title to, a
firearm at, or on the curtilage of, a gun show, to another person who
is not so licensed, or for a person who is not so licensed to receive
possession of, or title to, a firearm at, or on the curtilage of, a gun
show from another person who is not so licensed, unless a licensed
importer, licensed manufacturer, or licensed dealer--
``(1) has entered into a separate bound record the make,
model, and serial number of the firearm, and such other
information about the transaction as the Attorney General may
require by regulation; and
``(2) has notified the prospective transferor and
prospective transferee of the firearm that the national instant
criminal background check system established under section 103
of the Brady Handgun Violence Prevention Act has provided the
licensee with a unique identification number, indicating that
receipt of the firearm by the prospective transferee would not
violate section 922 of this title or State law.
``(d) Recordkeeping Requirements.--
``(1) In general.--A licensee who provides a notice
pursuant to subsection (c)(2) with respect to the transfer of a
firearm shall--
``(A) not later than 10 days after the date of the
transfer, submit to the Attorney General a report of
the transfer, which report shall specify the make,
model, and serial number of the firearm, and contain
such other information and be on such form, as the
Attorney General shall require by regulation, except
that the report shall not include the name of or other
identifying information relating to any person involved
in the transfer who is not licensed under this chapter;
and
``(B) retain a record of the transfer, including
the same information as would be required if the
transfer were from the inventory of the licensee, as
part of the permanent business records of the licensee.
``(2) Limitation.--The Attorney General may not impose any
recordkeeping requirement on any gun show vendor by reason of
this section.''.
(2) Penalties.--Section 924(a) of such title is amended by
adding at the end the following:
``(8)(A) Whoever knowingly violates subsection (a) or (d) of
section 935 shall be fined under this title, imprisoned not more than 5
years, or both.
``(B) Whoever knowingly violates subsection (b) or (c) of section
935, shall be--
``(i) fined under this title, imprisoned not more than 2
years, or both; and
``(ii) in the case of a second or subsequent conviction,
fined under this title, imprisoned not more than 5 years, or
both.
``(C) In addition to any other penalties imposed under this
paragraph, the Attorney General may, with respect to any person who
knowingly violates any provision of section 935--
``(i) if the person is registered pursuant to section
935(a), after notice and opportunity for a hearing, suspend for
not more than 6 months or revoke the registration of that
person under section 932(a); and
``(ii) impose a civil fine in an amount equal to not more
than $10,000.''.
(3) Clerical amendment.--The table of contents for such
chapter is amended by adding at the end the following:
``Sec. 935. Regulation of firearms transfers at gun shows.''.
(d) Inspection Authority.--Section 923(g)(1) of such title is
amended by adding at the end the following:
``(E) Notwithstanding subparagraph (B) of this paragraph, the
Attorney General may enter during business hours any place where a gun
show operator operates a gun show or is required to maintain records
pursuant to section 935(b)(2), for purposes of examining the records
required by sections 923 and 935 and the inventory of licensees
conducting business at the gun show. The entry and examination shall be
conducted for the purposes of determining compliance with this chapter
by gun show operators and licensees conducting business at the gun
show, and shall not require a showing of reasonable cause or a
warrant.''.
(e) Reports of Multiple Sales Assisted by Licensees at Gun Shows.--
Section 923(g)(3)(A) of such title is amended by inserting ``or
provides pursuant to section 935(c)(2) notice with respect to,'' after
``sells or otherwise disposes of,''.
(f) Increased Penalties for Serious Recordkeeping Violations by
Licensees.--Section 924(a)(3) of such title is amended to read as
follows:
``(3)(A) Except as provided in subparagraph (B), any licensed
dealer, licensed importer, licensed manufacturer, or licensed collector
who knowingly makes any false statement or representation with respect
to the information required by this chapter to be kept in the records
of a person licensed under this chapter, or violates section 922(m),
shall be fined under this title, imprisoned not more than 1 year, or
both.
``(B) If the violation described in subparagraph (A) is in relation
to an offense--
``(i) under paragraph (1) or (3) of section 922(b), such
person shall be fined under this title, imprisoned not more
than 5 years, or both; or
``(ii) under subsection (a)(6) or (d) of section 922, such
person shall be fined under this title, imprisoned not more
than 10 years, or both.''.
(g) Increased Penalties for Violations of Criminal Background Check
Requirements.--
(1) Penalties.--Section 924(a)(5) of such title is
amended--
(A) by striking ``subsection (s) or (t) of section
922'' and inserting ``section 922(t)''; and
(B) by striking ``1'' and inserting ``5''.
(2) Elimination of certain elements of offense.--Section
922(t)(5) of such title is amended by striking ``and, at the
time'' and all that follows through ``State local, or Tribal
law''.
(h) Authority To Hire Personnel To Inspect Gun Shows.--The Director
of the Bureau of Alcohol, Tobacco, Firearms and Explosives may hire at
least 40 additional Industry Operations Investigators for the purpose
of carrying out inspections of gun shows (as defined in section
921(a)(35) of title 18, United States Code).
(i) Report to the Congress.--The Director of the Bureau of Alcohol,
Tobacco, Firearms and Explosives shall submit biennial reports to the
Congress on how firearms (as defined in section 921(a)(3) of title 18,
United States Code) are sold at gun shows (as defined in paragraph (36)
of such section), how this section is being carried out, whether
firearms are being sold without background checks conducted by the
national instant criminal background check system established under
section 103 of the Brady Handgun Violence Prevention Act, what
resources are needed to carry out this section, and any recommendations
for improvements to ensure that firearms are not sold without the
background checks.
(j) Effective Date.--This section and the amendments made by this
section shall take effect 180 days after the date of enactment of this
Act.
<all>
</pre></body></html>
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118HR3123 | NICS Review Act of 2023 | [
[
"T000472",
"Rep. Takano, Mark [D-CA-39]",
"sponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3123 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3123
To require records of the national instant criminal background check
system to be retained for at least 90 days.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Mr. Takano introduced the following bill; which was referred to the
Committee on the Judiciary
_______________________________________________________________________
A BILL
To require records of the national instant criminal background check
system to be retained for at least 90 days.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``NICS Review Act of 2023''.
SEC. 2. REQUIREMENT THAT NICS RECORDS BE RETAINED FOR AT LEAST 90 DAYS.
Section 511 of division B of the Consolidated and Further
Continuing Appropriations Act, 2012 (34 U.S.C. 40901 note; Public Law
112-55; 125 Stat. 632) is amended by striking ``no more than 24 hours''
and inserting ``no fewer than 90 days''.
<all>
</pre></body></html>
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118HR3124 | To amend the Internal Revenue Code of 1986 to remove private or commercial golf courses and country clubs from the list of uses for which certain proceeds cannot be used. | [
[
"T000478",
"Rep. Tenney, Claudia [R-NY-24]",
"sponsor"
],
[
"P000613",
"Rep. Panetta, Jimmy [D-CA-19]",
"cosponsor"
],
[
"H001067",
"Rep. Hudson, Richard [R-NC-9]",
"cosponsor"
],
[
"S000522",
"Rep. Smith, Christopher H. [R-NJ-4]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3124 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3124
To amend the Internal Revenue Code of 1986 to remove private or
commercial golf courses and country clubs from the list of uses for
which certain proceeds cannot be used.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. Tenney (for herself and Mr. Panetta) introduced the following bill;
which was referred to the Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to remove private or
commercial golf courses and country clubs from the list of uses for
which certain proceeds cannot be used.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. REPEAL OF RESTRICTIONS ON USE OF CERTAIN PROCEEDS FOR
PRIVATE OR COMMERCIAL GOLF COURSES AND COUNTRY CLUBS.
(a) In General.--Section 144 of the Internal Revenue Code of 1986
is amended by striking ``private or commercial golf course, country
club,'' each place it appears.
(b) Effective Dates.--
(1) In general.--The amendment made by this section shall
apply to obligations issued after the date of the enactment of
this Act.
(2) Special rule for empowerment zone employment credit.--
For purposes of section 1396(d)(2) of the Internal Revenue Code
of 1986, the amendment made by subsection (a) shall apply to
individuals who begin work for the employer after the date of
the enactment of this Act.
(3) Special rule for empowerment zone business and
opportunity zones.--For purposes of sections 1397C(d)(5) and
1400Z-2(d)(3)(A) of the Internal Revenue Code of 1986, the
amendment made by subsection (a) shall apply to taxable years
beginning after the date of the enactment of this Act.
<all>
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118HR3125 | To amend the Internal Revenue Code of 1986 to increase the information reporting threshold for slot winnings. | [
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"A0003... | <p>This bill provides that no tax information return for winnings from one slot machine play shall be required unless the winnings are at least $5,000 (without reduction for the amount wagered). This threshold amount is adjusted for inflation for calendar years beginning after 2024.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3125 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3125
To amend the Internal Revenue Code of 1986 to increase the information
reporting threshold for slot winnings.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. Titus (for herself, Mr. Reschenthaler, Mr. Van Drew, Mr. Cole, Mr.
Amodei, Mr. Kelly of Pennsylvania, Mr. Johnson of South Dakota, and Mr.
Horsford) introduced the following bill; which was referred to the
Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to increase the information
reporting threshold for slot winnings.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. REPORTING THRESHOLD FOR SLOT MACHINES.
(a) In General.--Section 6041 of the Internal Revenue Code of 1986
is amended by adding at the end the following new subsection:
``(h) Slot Machines.--
``(1) In general.--No return shall be required under
subsection (a) in the case of a payment in the course of a
trade or business of winnings from one slot machine play unless
the winnings from one such play are at least $5,000 (without
reduction for the amount wagered).
``(2) Inflation adjustment.--In the case of payments in any
calendar year beginning after 2024, the $5,000 amount in
paragraph (1) shall be increased by an amount equal to--
``(A) such dollar amount, multiplied by
``(B) the cost-of-living adjustment determined
under section 1(f)(3) for the calendar year in which
the taxable year begins, determined by substituting
`2023' for `2016' in subparagraph (A)(ii) thereof.
If any increase determined under the preceding sentence is not
a multiple of $100, such increase shall be rounded to the
nearest multiple of $100.''.
(b) Effective Date.--The amendment made by this section shall apply
to payments after December 31, 2023.
<all>
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118HR3126 | Keep Kupuna Fed Act | [
[
"T000487",
"Rep. Tokuda, Jill N. [D-HI-2]",
"sponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3126 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3126
To amend the Food and Nutrition Act of 2008 to exclude from income
certain funds received under the Social Security Act.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 5, 2023
Ms. Tokuda introduced the following bill; which was referred to the
Committee on Agriculture
_______________________________________________________________________
A BILL
To amend the Food and Nutrition Act of 2008 to exclude from income
certain funds received under the Social Security Act.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Keep Kupuna Fed Act''.
SEC. 2. AMENDMENT.
Section 5(d) of the Food and Nutrition Act of 2008 (7 U.S.C.
2014(d)) is amended--
(1) in paragraph (18) by striking ``and'' at the end,
(2) in paragraph (19) by striking the period at the end and
inserting ``; and'', and
(3) by adding at the end the following:
``(20) income received under title II of the Social
Security Act.''.
SEC. 3. EFFECTIVE DATE.
This Act and the amendments made by this Act shall take effect 90
days after the date of enactment of this Act.
<all>
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118HR3127 | SHOPP Act | [
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"M001... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3127 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3127
To amend the Food, Conservation, and Energy Act of 2008 to provide
families year-round access to nutrition incentives, including hard-to-
serve areas, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Ms. Crockett (for herself, Mr. Alford, Mr. Thompson of Mississippi, Mr.
Bacon, Mrs. Miller of Illinois, and Mr. Casar) introduced the following
bill; which was referred to the Committee on Agriculture
_______________________________________________________________________
A BILL
To amend the Food, Conservation, and Energy Act of 2008 to provide
families year-round access to nutrition incentives, including hard-to-
serve areas, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Supporting all Healthy Options when
Purchasing Produce Act'' or the ``SHOPP Act''.
SEC. 2. NUTRITION INCENTIVES.
(a) In General.--Section 4405 of the Food, Conservation, and Energy
Act of 2008 (7 U.S.C. 7517) is amended--
(1) in subsection (b)(2)(B)--
(A) by redesignating clauses (ix) and (x) as
clauses (x) and (xi); and
(B) by inserting after clause (viii) the following:
``(ix) increase year-round availability of
incentives by offering fresh frozen fruits or
vegetables;''; and
(2) in subsection (c), by striking ``fresh fruits and
vegetables'' and inserting ``fresh or fresh frozen fruits,
vegetables, and legumes'' each place it appears.
(b) Effective Date.--The amendments made by this section shall take
effect on March 6, 2024.
<all>
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118HR3128 | American Aviator Act | [
[
"S001216",
"Rep. Schrier, Kim [D-WA-8]",
"sponsor"
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"K000399",
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"cosponsor"
]... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3128 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3128
To require the Administrator of the Federal Aviation Administration to
establish a pilot program to provide veterans with pilot training
services.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Ms. Schrier (for herself, Mr. Armstrong, Ms. Strickland, and Mrs.
Kiggans of Virginia) introduced the following bill; which was referred
to the Committee on Transportation and Infrastructure
_______________________________________________________________________
A BILL
To require the Administrator of the Federal Aviation Administration to
establish a pilot program to provide veterans with pilot training
services.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``American Aviator Act''.
SEC. 2. PILOT PROGRAM TO PROVIDE VETERANS WITH PILOT TRAINING SERVICES.
(a) In General.--The Administrator of the Federal Aviation
Administration (in this section referred to as the ``Administrator''),
in consultation with the Secretary of Education and the Secretary of
Veterans Affairs, shall establish a program to provide assistance in
the form of grants to eligible entities that provide pilot training
activities and related education to support a pathway for veterans to
become commercial aviators.
(b) Eligible Entity.--For purposes of this section, the term
``eligible entity'' means a pilot school or provisional pilot school
that--
(1) holds an Air Agency Certificate under part 145 of title
14, Code of Federal Regulations; and
(2) has an established employment pathway with at least 1
air carrier operating under part 121 or 135 of title 14, Code
of Federal Regulations.
(c) Priority Application.--In selecting eligible entities to award
grants to under this section, the Administrator shall give priority to
eligible entities that meet the following criteria:
(1) The eligible entity is accredited (as defined in
section 61.1 of title 14, Code of Federal Regulations) by an
accrediting agency recognized by the Secretary of Education.
(2) The eligible entity holds a letter of authorization
issued in accordance with section 61.169 of title 14, Code of
Federal Regulations.
(d) Use of Funds.--Amounts from a grant received by an eligible
entity under the pilot program shall be used for the following:
(1) Administrative costs related to implementation of the
program, not to exceed 10 percent of the amount awarded.
(2) To provide guidance and pilot training services,
including tuition and flight training fees for veterans
enrolled with the eligible entity and any training required to
reach proficiency, to the veterans enrolled to support them in
obtaining any of the following pilot certificates and ratings:
(A) Private pilot certificate.
(B) Instrument rating.
(C) Commercial pilot certificate.
(D) Multi-engine rating.
(E) Certificated flight instructor single engine
certificate, if applicable to degree sought.
(F) Certificated flight instructor multi-engine
certificate, if applicable to degree sought.
(G) Certificated flight instructor instrument
certificate, if applicable to degree sought.
(3) To provide books, training materials, and equipment to
support pilot training activities and related education for
veterans enrolled with the eligible entity.
(4) To provide periodic reports to the Administrator on use
of the grant funds, including documentation of training
completion of the certificates and ratings described in
subparagraphs (A) through (G) of paragraph (2).
(e) Coordination With Veterans Education Benefits.--In the event a
veteran participates in the pilot program who is entitled to
educational assistance for veterans under the laws administered by the
Secretary of Veterans Affairs--
(1) any costs of the veteran in participation in the pilot
program that are covered by such educational assistance shall
be borne by the veteran using such educational assistance; and
(2) any costs incurred by the veteran in participation in
the pilot program that are not covered by such educational
assistance, including the cost of a private or commercial pilot
license, may be borne by the eligible entity concerned using
grant amounts awarded to the eligible entity for purposes of
the pilot program.
(f) Appropriations.--To carry out this section, there is authorized
to be appropriated $5,000,000 for each of the fiscal years 2024 through
2029.
<all>
</pre></body></html>
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118HR3129 | Health Care Fairness for All Act | [
[
"S000250",
"Rep. Sessions, Pete [R-TX-17]",
"sponsor"
],
[
"A000375",
"Rep. Arrington, Jodey C. [R-TX-19]",
"cosponsor"
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[
"C001051",
"Rep. Carter, John R. [R-TX-31]",
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]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3129 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3129
To ensure health care fairness and affordability for all Americans
through universal access to equitable health insurance tax credits,
reformed health savings accounts, and strengthened consumer
protections, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Sessions introduced the following bill; which was referred to the
Committee on Energy and Commerce, and in addition to the Committees on
Ways and Means, and Education and the Workforce, for a period to be
subsequently determined by the Speaker, in each case for consideration
of such provisions as fall within the jurisdiction of the committee
concerned
_______________________________________________________________________
A BILL
To ensure health care fairness and affordability for all Americans
through universal access to equitable health insurance tax credits,
reformed health savings accounts, and strengthened consumer
protections, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE; PURPOSES; TABLE OF CONTENTS.
(a) Short Title.--This Act may be cited as the ``Health Care
Fairness for All Act''.
(b) Purposes.--The purposes of this Act are as follows:
(1) Elimination of individual and employer mandates.--To
eliminate mandates on individuals and employers, and other tax
requirements, imposed under Public Law 111-148.
(2) Providing states with alternative, affordable coverage
options.--To provide greater flexibility in providing States
with options in making affordable health insurance coverage
available by eliminating certain mandates under Public Law 111-
148, while retaining essential consumer protections, by
promoting health savings accounts to pay for such coverage and
long-term care coverage, while permitting States to continue
coverage as provided under such public law.
(c) Table of Contents.--The table of contents of this Act is as
follows:
Sec. 1. Short title; purposes; table of contents.
Sec. 2. Definitions.
TITLE I--REVISION OF FEDERAL HEALTH LAW
Subtitle A--Elimination of Employer and Individual Mandates
Sec. 101. Repeal of individual health insurance mandate.
Sec. 102. Repeal of employer health insurance mandate.
Sec. 103. Clarifying employer's ability to reimburse employee premiums
for purchase of individual health insurance
coverage.
Subtitle B--Limitation on Application of Federal Health Plan
Requirements
Sec. 121. Limiting application of requirements to consumer protections.
Sec. 122. Offering of basic health insurance; protection of assets from
liability or attachment or seizure.
Sec. 123. Ensuring access to short-term limited duration insurance.
Sec. 124. Making telehealth flexibilities permanent.
Subtitle C--Health Insurance Tax Benefit
Sec. 131. Health insurance tax benefit.
Sec. 132. Application of portion of unused tax credits by States for
indigent health care.
Sec. 133. Medicaid option of enrollment under private plan and
contribution to an HSA.
Sec. 134. Repeal of reporting requirements relating to employee health
insurance premiums and health plan
benefits.
Sec. 135. Report.
Subtitle D--Medicare Reforms
Sec. 141. Physician-owned hospitals.
Sec. 142. Prohibiting the use of an inpatient-only list in designating
hospital outpatient services under the
Medicare program.
Sec. 143. Promoting Medicare site-neutral payments.
Sec. 144. Medicare Advantage contributions to Roth HSAs for chronically
ill enrollees.
Sec. 145. Extending acute hospital care at home waiver flexibilities.
TITLE II--IMPROVING HEALTH SAVINGS ACCOUNTS TO PROMOTE ACCOUNTABILITY
Sec. 201. Transition to non-deductible HSAs.
Sec. 202. Elimination of medical expense deduction.
Sec. 203. Treatment of HSA after death of account beneficiary.
Sec. 204. Treatment of direct patient care arrangements.
TITLE III--STATE FLEXIBILITY IN REGULATION OF HEALTH INSURANCE COVERAGE
Sec. 301. State flexibility in regulation of health insurance coverage.
TITLE IV--MEDICAID PAYMENT REFORM
Sec. 401. Medicaid payment reform to ensure equitable access to care.
TITLE V--PRICE TRANSPARENCY
Sec. 501. Promoting transparent hospital prices for consumers.
SEC. 2. DEFINITIONS.
Except as otherwise provided, in this Act:
(1) Basic health insurance.--The term ``basic health
insurance'' is defined in section 122(a).
(2) Default health insurance coverage.--The term ``default
health insurance coverage'' is defined in section 121(b)(4)(B).
(3) Exchange.--The term ``Exchange'' means an Exchange
established under title I of Public Law 111-148.
(4) Health insurance coverage; group health plan, etc.--The
terms defined in section 2791 of the Public Health Service Act,
including ``health insurance coverage'', ``group health plan''
``individual market'', shall apply.
(5) Limited benefit insurance.--The term ``limited benefit
insurance'' is defined in section 122(b).
(6) Secretary.--The term ``Secretary'' means the Secretary
of Health and Human Services.
(7) State.--The term ``State'' includes the District of
Columbia, Puerto Rico, the United States Virgin Islands,
American Samoa, Guam, and the Northern Mariana Islands.
TITLE I--REVISION OF FEDERAL HEALTH LAW
Subtitle A--Elimination of Employer and Individual Mandates
SEC. 101. REPEAL OF INDIVIDUAL HEALTH INSURANCE MANDATE.
Section 5000A of the Internal Revenue Code of 1986 is amended by
adding at the end the following new subsection:
``(h) Termination.--This section shall not apply to months
beginning after December 31, 2022.''.
SEC. 102. REPEAL OF EMPLOYER HEALTH INSURANCE MANDATE.
(a) In General.--Chapter 43 of the Internal Revenue Code of 1986 is
amended--
(1) by striking section 4980H, and
(2) by striking the item relating to section 4980H from the
table of sections for such chapter.
(b) Repeal of Related Reporting Requirements.--Subpart D of part
III of subchapter A of chapter 61 of such Code is amended by striking
section 6056 and by striking the item relating to section 6056 in the
table of sections for such subpart.
(c) Conforming Amendments.--
(1) Section 6724(d)(1)(B) of such Code is amended by
striking clause (xxv).
(2) Section 6724(d)(2) of such Code is amended by striking
subparagraph (HH).
(3) Section 1513 of Public Law 111-148 is amended by
striking subsection (c).
(d) Effective Dates.--
(1) In general.--Except as otherwise provided in this
subsection, the amendments made by this section shall apply to
months and other periods beginning more than 30 days after the
date of the enactment of this Act.
(2) Repeal of study and report.--The amendment made by
subsection (c)(3) shall take effect on the date of the
enactment of this Act.
SEC. 103. CLARIFYING EMPLOYER'S ABILITY TO REIMBURSE EMPLOYEE PREMIUMS
FOR PURCHASE OF INDIVIDUAL HEALTH INSURANCE COVERAGE.
An employer health care arrangement, such as a health or medical
reimbursement arrangement (HRA) or other employment plans, under which
an employer reimburses an employee for the premiums for the purchase of
individual health insurance coverage does not constitute a group health
plan for any purposes, including for purposes of applying any of the
following:
(1) The Public Health Service Act (including sections 2711
and 2714 of such Act, 42 U.S.C. 300gg-11, 300gg-14).
(2) Public Law 111-148.
(3) The Internal Revenue Code of 1986 (other than for
purposes of section 36B of such Code).
(4) The Employee Retirement Income Security Act of 1974.
(5) The HIPAA privacy regulations (as defined in section
1180(b)(3) of the Social Security Act, 42 U.S.C. 1320d-
9(b)(3)).
(6) The Health Insurance Portability and Accountability Act
of 1996.
(7) COBRA continuation coverage under title XXII of the
Public Health Service Act (42 U.S.C. 300bb-1 et seq.), section
4980B of the Internal Revenue Code of 1986, or title VI of the
Employee Retirement Income Security Act of 1974 (29 U.S.C. 1161
et seq.).
Subtitle B--Limitation on Application of Federal Health Plan
Requirements
SEC. 121. LIMITING APPLICATION OF REQUIREMENTS TO CONSUMER PROTECTIONS.
(a) Removal of Public Law 111-148 Plan Requirements, Other Than
Certain Consumer Protections.--
(1) In general.--Notwithstanding any other provision of
law, with respect to group health plans and health insurance
coverage whether or not offered through an Exchange, except as
provided in paragraphs (2) and (3), the provisions of title
XXVII of the Public Health Service Act (42 U.S.C. 300gg et
seq.) as in effect on the day before the date of the enactment
of Public Law 111-148 shall apply instead of the provisions of
such title as in effect after such date.
(2) Public law 111-148 consumer protections continuing to
be applied.--The following sections of the Public Health
Service Act, that were added or amended by subtitles A and C of
title I of Public Law 111-148, shall continue to apply to group
health plans and to health insurance coverage offered in the
individual and group market:
(A) No lifetime or annual limits.--Section 2711 (42
U.S.C. 300gg-11; relating to no lifetime or annual
limits), except in the case of limited benefit
insurance (as defined in section 122(b)).
(B) Dependent coverage through age 26.--Section
2714 (42 U.S.C. 300bb-14; relating to extension of
dependent coverage).
(C) Modified guaranteed availability.--Section 2702
(42 U.S.C. 300gg-1; relating to guaranteed availability
of coverage), subject to paragraph (3) and subsection
(c).
(D) Guaranteed renewability.--Section 2703 (42
U.S.C. 300gg-2; relating to guaranteed renewability of
coverage).
(E) Prohibiting pre-existing condition
exclusions.--Section 2704 (42 U.S.C. 300gg-3; relating
to prohibition on preexisting conditions).
(F) Prohibiting discrimination based on health
status.--Section 2705 (42 U.S.C. 300gg-4; relating to
prohibiting discrimination against individual
participants and beneficiaries based on health status),
subject to subsection (c).
(G) Non-discrimination in health care.--Section
2706 (42 U.S.C. 300gg-5; relating to non-discrimination
in health care).
(3) Application of a late enrollment penalty for those
without continuous coverage.--
(A) In general.--In the case of an individual who
seeks to enroll in health insurance coverage and who,
as of the effective date of such enrollment, does not
have a continuous period of at least 12 months of
creditable coverage, there shall be imposed a late
enrollment penalty in the form of an increase in the
monthly premiums for coverage of under the plan of 20
percent of the monthly premium otherwise determined for
each consecutive full 12-month period (ending before
such effective date) in which the individual was not
enrolled in creditable coverage. Such increase shall
apply during a period, to be specified under
regulations of the Secretary but in no case longer than
3 times the length of the most recent period in which
the individual did not have continuous coverage.
(B) State waiver.--A State may apply to the
Secretary for a waiver of the provisions of
subparagraph (A) and the application of alternative
provisions providing incentives for State residents to
enroll in creditable coverage and maintain continuous
creditable coverage. The Secretary shall approve such
waiver if the Secretary determines that the alternative
provisions provide similar or greater incentives for
such enrollment than the incentives otherwise
applicable.
(4) Coordinating implementation of pre-public law 111-148
phsa provisions with public law 111-148 consumer protections.--
(A) In general.--In applying this subsection, the
provisions described in paragraph (2) shall be treated
as if they were included in title XXVII of the Public
Health Service Act, as in effect before the date of
enactment of Public Law 111-148, and, with respect to
group health plans and health insurance coverage
offered in connection with such plans, in part 7 of
subtitle B of title I of the Employee Retirement and
Income Security Act of 1974 (29 U.S.C. 1181 et seq.),
and, with respect to group health plans, in chapter 100
of the Internal Revenue Code of 1986 as follows:
(i) Lifetime limits; dependent coverage.--
The provisions described in paragraphs (2)(A)
and (2)(B) shall be treated as included--
(I) with respect to group health
plans (and health insurance coverage
offered with respect to such plans),
under subpart 2 of part A of title
XXVII of the Public Health Service Act
(42 U.S.C. 300gg-11 et seq.) and
subpart B of part 7 of subtitle B of
title I of the Employee Retirement and
Income Security Act of 1974 (29 U.S.C.
1181 et seq.);
(II) also with respect to group
health plans, under subchapter B of
chapter 100 of the Internal Revenue
Code of 1986; and
(III) with respect to individual
health insurance coverage, under
subpart 2 of part B of title XXVII of
the Public Health Service Act (42
U.S.C. 300gg-15 et seq.).
(ii) Remaining provisions.--The provision
described in paragraph (2) (other than in
subparagraph (A) or (B) of such paragraph)
shall be treated as included--
(I) with respect to group health
plans (and health insurance coverage
offered with respect to such plans),
under subpart 1 of part A of title
XXVII of the Public Health Service Act
(42 U.S.C. 300gg et seq.) and subpart A
of part 7 of subtitle B of title I of
the Employee Retirement and Income
Security Act of 1974 (29 U.S.C. 1181 et
seq.);
(II) also with respect to group
health plans, under subchapter A of
chapter 100 of the Internal Revenue
Code of 1986; and
(III) with respect to individual
health insurance coverage, under
subpart 1 of part B of title XXVII of
the Public Health Service Act (42
U.S.C. 300gg-41 et seq.).
(B) Conflicting provisions.--In the case described
in paragraph (1) where there is a conflict between a
provision described in paragraph (2) and a provision of
law described in paragraph (1), the provision described
in paragraph (2) shall control and the Secretary, in
consultation with the Secretary of the Treasury and the
Secretary of Labor, shall establish such rules as may
be necessary to carry out this subparagraph.
(5) Conforming amendments.--
(A) ERISA.--Section 715 of the Employee Retirement
Income Security Act of 1974 (29 U.S.C. 1185d) is
amended--
(i) in subsection (a), by striking
``subsection (b)'' and inserting ``subsections
(b) and (c)''; and
(ii) by adding at the end the following new
subsection:
``(c) Additional Exception.--Pursuant to section 121 of the Health
Care Fairness for All Act, the provisions of part A of title XXVII of
the Public Health Service Act referred to in subsection (a), other than
those provisions specified in section 121(a)(2) of the Health Care
Fairness for All Act, shall not apply to plans and coverage described
in subsection (a), whether or not the plans or coverage are offered
through an Exchange established by Public Law 111-148.''.
(B) IRC.--Section 9815 of the Internal Revenue Code
of 1986 is amended--
(i) in subsection (a), by striking
``subsection (b)'' and inserting ``subsections
(b) and (c)''; and
(ii) by adding at the end the following new
subsection:
``(c) Additional Exception.--Pursuant to section 121 of the Health
Care Fairness for All Act, the provisions of part A of title XXVII of
the Public Health Service Act referred to in subsection (a), other than
those provisions specified in section 121(a)(2) of the Health Care
Fairness for All Act, shall not apply to plans described in subsection
(a).''.
(b) State Flexibility in Ensuring Orderly Health Insurance Market
Outside of an Exchange.--
(1) In general.--With respect to health insurance coverage
offered in a State, the State may, in consultation with the
Secretary, take such steps, such as limiting the availability
of general open enrollment periods, imposing delays in the
effectiveness for coverage, permitting differentials in
premiums based on age and other factors, as the State
determines necessary in order to ensure an orderly market for
health insurance coverage in the State that is not offered
through an Exchange. Such steps may include the establishment
of such initial open enrollment period during which qualified
residents may enroll in health insurance coverage without the
imposition of any underwriting as the State determines to be
appropriate in ensuring initial access to such coverage.
(2) Flexibility in imposing additional requirements.--
Subject to paragraph (5), nothing in this section shall be
construed as preventing a State from continuing to apply, to
health insurance coverage issued in the State, requirements
under the provisions of title XXVII of the Public Health
Service Act (as amended by subtitles A and C of title I of
Public Law 111-148) that are not continued under subsection
(a).
(3) State flexibility with respect to exchanges.--A State
may waive such provisions of part II of subtitle D of title I
of Public Law 111-148 (42 U.S.C. 18031 et seq.), in relation to
the establishment of an Exchange in such State, as the State
determines appropriate in order for the State to implement and
administer a market-based system for the availability of health
insurance coverage throughout the State.
(4) State default enrollment option.--
(A) Enrollment, subject to individual opt-out.--
Subject to subparagraph (D), a State may elect to
provide for the enrollment of residents of the State
who are uninsured in default health insurance coverage
(as defined in subparagraph (B)) and establishing a
Roth HSA for such residents who do not have a Roth HSA
unless the resident has affirmatively elected not to be
so enrolled and not to have such an account,
respectively. If a State makes such an election, the
State shall permit eligible residents to enroll in such
coverage on a continuous basis.
(B) Default health insurance coverage defined.--In
this paragraph, the term ``default health insurance
coverage'' means, with respect to a State, health
insurance coverage that--
(i) is a high deductible health plan
(within the meaning of section 223(c)(2) of the
Internal Revenue Code of 1986) with
prescription drug coverage limited to generic
drugs for a limited number of chronic
conditions (commonly referred to as tier I
pharmacy benefit);
(ii) meets such requirements as may apply
to qualify for the payment of plan premiums
from a health savings account under section 223
of such Code (such as age-related premiums and
limitation on imposition of preexisting
condition exclusions);
(iii) has a provider network for covered
benefits that is adequate (as determined
consistent with guidelines issued by the
Secretary) to ensure access to health benefits
under such plan;
(iv) provides for coverage of childhood
immunizations without cost sharing requirements
to the extent such immunizations have in effect
a recommendation from the Advisory Committee on
Immunization Practices of the Centers for
Disease Control and Prevention with respect to
the individual involved; and
(v) meets such other requirements as the
State may specify.
(C) Roth hsa.--In this paragraph, the term ``Roth
HSA'' shall have the meaning given such term by section
530A(c) of the Internal Revenue Code of 1986, as added
by section 201(a) of this Act.
(D) Simple process for individuals to opt out.--As
a condition of a State providing for the enrollment
function described in subparagraph (A), the State must
establish an easy-to-use and transparent means by which
individuals may elect not to be enrolled in default
health insurance coverage or to have a Roth HSA
established on the individual's behalf, or both.
(5) Minimum age variation permitted for premium rates.--
With respect to the premium rate charged by a health insurance
issuer for health insurance coverage offered in the individual
or small group market, a State may not limit the variation by
age in such rate with respect to a particular plan or coverage
involved by less than a factor of 5 to 1 for adults. The
previous sentence shall be treated as if it were included in
subpart I of part A of title XXVII of the Public Health Service
Act (42 U.S.C. 300gg et seq.).
(c) Inapplicability of Required Essential Health Benefits.--
(1) In general.--Notwithstanding any other provision of
law, no health benefits plan shall be required by reason of
Federal law to comply with the requirements of sections
1301(a)(1)(B) and 1302 of Public Law 111-148 (42 U.S.C.
18021(a)(1)(B), 18022).
(2) State flexibility.--Nothing in this subsection shall be
construed as preventing a State from applying, at its option
with respect to health insurance coverage offered through an
Exchange or otherwise in the State, the requirements referred
to in paragraph (1).
(d) Effective Date; Transition.--
(1) In general.--Subsection (a), (b), and (c) shall apply
to plan years beginning after the date of the enactment of this
Act.
(2) Sunsetting required contribution for aca reinsurance
program.--No contribution shall be required under section 1341
of Public Law 111-148 (42 U.S.C. 18061) from any group health
plan or health insurance issuer for portions of plans years
occurring in months beginning more than 30 days after the date
of the enactment of this Act.
(e) Secretarial Guidance.--The Secretary of Health and Human
Services, in coordination with the Secretary of Labor and the Secretary
of the Treasury, shall provide such guidance as may be necessary for
the coordinated implementation of this section on a timely basis.
(f) Transferring Health Plan Records Upon Changing Plans.--
(1) In general.--In the case of an individual who is
covered under health insurance coverage or as a beneficiary or
participant in a group health plan (as such terms are defined
in section 2791 of the Public Health Service Act, 42 U.S.C.
300gg-91), if such coverage is ended and the individual obtains
other health insurance coverage, group health plan coverage, or
other creditable coverage (as defined for purposes of title
XXVII of such Act), the issuer of the prior coverage or
administrator of the prior plan shall forward information
respecting such prior coverage to the issuer of the new
coverage or administrator of the new plan or coverage, as the
case may be, subject to such rules as the Secretary establishes
regarding the right of the beneficiary or participant to object
to such forwarding of information.
(2) Treatment as plan requirement under phsa, erisa, irc.--
The requirement of paragraph (1) shall apply as if it were a
section under part A of title XXVII of the Public Health
Service Act, including for purposes of applying section 715 of
the Employee Retirement Income Security Act of 1976 (29 U.S.C.
1185d) and section 9815 of the Internal Revenue Code of 1986.
(g) Application of Risk Adjustment.--
(1) In general.--Any issuer that offers health insurance
coverage in the individual market in any of the 50 States or
the District of Columbia shall participate in a risk adjustment
mechanism under this subsection with respect to any health
insurance coverage it so offers in such market, whether or not
such coverage is offered through an Exchange.
(2) Form and design of risk adjustment mechanism.--The
Secretary shall, in consultation with the National Association
of Insurance Commissioners and other interested parties,
develop a mechanism to permit the adjustment of risk among
health insurance coverage offered in the individual market
throughout the 50 States and the District of Columbia. Such
mechanism shall be designed to effect the same type of risk
adjustment among such coverage that is applicable to risk
adjustment of payments among Medicare Advantage organizations
under part C of title XVIII of the Social Security Act (42
U.S.C. 1395w-21 et seq.).
(3) Transition for new coverage.--The mechanism developed
under paragraph (2) shall provide for transitional protection,
over a 3-year period, in the case of health insurance coverage
that has not been previously marketed.
(4) Development of further risk adjustment mechanism.--The
Secretary shall request the National Association of Insurance
Commissioners to develop a permanent model for adjustment of
risk among health insurance issuers with respect to health
insurance coverage offered in the individual market, with the
intention that such a model would substitute for the mechanism
developed under paragraph (2).
(5) Treatment as plan requirement under phsa, erisa, irc.--
The requirement of paragraph (1) shall apply as if it were a
section under part A of title XXVII of the Public Health
Service Act (42 U.S.C. 300gg et seq.), including for purposes
of applying section 715 of the Employee Retirement Income
Security Act of 1976 (29 U.S.C. 1185d) and section 9815 of the
Internal Revenue Code of 1986.
SEC. 122. OFFERING OF BASIC HEALTH INSURANCE; PROTECTION OF ASSETS FROM
LIABILITY OR ATTACHMENT OR SEIZURE.
(a) Requirement for Exchanges.--
(1) In general.--No tax credit shall be allowable under
section 36B or 36C of the Internal Revenue Code of 1986 for
residents of a State unless any Exchange established in the
State provides for the offering of basic health insurance in
all areas of the State.
(2) Basic health insurance defined.--In this subsection,
the term ``basic health insurance'' means, with respect to a
State, such health insurance coverage as the State may specify
and includes limited benefit insurance (as defined in
subsection (b)).
(b) Limited Benefit Insurance Defined.--
(1) In general.--In this title, the term ``limited benefit
insurance'' means individual health insurance coverage that,
with respect to a plan year, imposes (consistent with paragraph
(2)) an annual limit on the amounts that may be payable under
the coverage with respect to expenses incurred for items and
services furnished in that plan year.
(2) Specification of annual limit; variation in limit for
individual and family coverage.--The Secretary shall specify,
from year to year, the annual limit (or range of annual limits)
that may be applied under paragraph (1). Such a limit may
distinguish between coverage that is only provided for an
individual and coverage that is provided also for family
members of the individual.
(c) Protection of Certain Assets in Case of Individuals Covered
Under Limited Benefit Insurance.--
(1) In general.--Notwithstanding any other provision of
law, if an individual is covered under limited benefit
insurance for a plan year and benefits under such insurance
have reached the annual limit under such insurance for items
and services furnished in the plan year, the individual is not
liable for debt incurred and arising from the provision of
subsequently furnished items and services during the plan year,
regardless of whether benefits are otherwise covered for such
items and services under such policy, insofar as the liability
attributable to such items and services exceeds--
(A) the bankruptcy valuation of the individual's
property at the time the debt is incurred; reduced by
(B) such annual limit of benefits under the limited
benefit insurance for the plan year.
Property in the amount so protected from liability shall be
exempt and immune from attachment or seizure with respect to
any judgment related to such debt.
(2) Bankruptcy valuation defined.--In this subsection, the
term ``bankruptcy valuation'' means, with respect to property
of an individual as of a date, the value of the property as of
such date as determined as if the individual were a debtor in a
bankruptcy case that could have been filed under title 11 of
the United States Code and the property could not be exempt
under section 522 of such title.
(3) No requirement for providers to furnish subsequent
services without ensuring payment.--Except as may be explicitly
provided in other law (such as under section 1867 of the Social
Security Act, 42 U.S.C. 1395dd; popularly known as EMTALA), a
health care provider is not required to furnish any items or
services to an individual who has exhausted benefits under
limited benefit insurance for a plan year without the
individual (or another person on the individual's behalf)
providing for such advance or guarantee of payment for such
items and services as may be arranged between the health care
provider and the individual.
SEC. 123. ENSURING ACCESS TO SHORT-TERM LIMITED DURATION INSURANCE.
Section 2791(b)(5) of the Public Health Service Act (42 U.S.C.
300gg-91(b)(5)) is amended by inserting ``(as defined in the rule
entitled `Short-Term, Limited Duration Insurance' (83 Fed. Reg. 38212
(August 3, 2018)))'' after ``short-term limited duration insurance''.
SEC. 124. MAKING TELEHEALTH FLEXIBILITIES PERMANENT.
Notwithstanding any other provision of law, in the case of any
provision of section 1834(m) of the Social Security Act (42 U.S.C.
1395m(m)) that would, absent this section, end on the last day of the
emergency period described in section 1135(g)(1)(B) of the Social
Security Act (42 U.S.C. 1320b-5(a)(1)(B)) or December 1, 2024, such
provision shall be deemed to continue to apply on or after such last
day or such date (as applicable).
Subtitle C--Health Insurance Tax Benefit
SEC. 131. HEALTH INSURANCE TAX BENEFIT.
(a) In General.--Subpart C of part IV of subchapter A of chapter 1
of the Internal Revenue Code of 1986 is amended by inserting after
section 36B the following new section:
``SEC. 36C. HEALTH INSURANCE TAX CREDIT.
``(a) In General.--In the case of an individual who is a qualified
resident, there shall be allowed as a credit against the tax imposed by
this subtitle for any taxable year an amount equal to the health credit
amount of the taxpayer for the taxable year.
``(b) Health Credit Amount.--For purposes of this section--
``(1) In general.--The term `health credit amount' means
the sum of the amounts determined under paragraph (2) with
respect to all months of the taxpayer for the taxable year.
``(2) Monthly credit amount.--
``(A) In general.--Subject to paragraph (4), the
amount determined under this paragraph with respect to
any month shall be an amount equal to the sum of--
``(i) \1/12\ of $4,000 in the case of any
month the first day of which the taxpayer is a
qualified resident and is covered by creditable
coverage (twice such amount in the case of a
joint return if both spouses are so covered by
creditable coverage and are qualified
residents), plus
``(ii) \1/12\ of an amount equal to $2,000
multiplied by the number of qualifying children
(within the meaning of section 152) who are
qualified residents and--
``(I) for whom the taxpayer is
allowed a deduction under section 151
for the taxable year in which such
month ends, and
``(II) who are covered by
creditable coverage on the first day of
such month.
``(B) Carryforward of monthly credit amount in case
credit amount exceeds hsa contributions and premium
payments.--In the case of any month for which the
credit amount determined with respect to the taxpayer
under subparagraph (A) exceeds the limitation amount
determined with respect to the taxpayer for such month
under paragraph (3), such excess may be carried forward
to any subsequent month during the taxable year for
purposes of determining the credit amount for such
month under this paragraph.
``(3) Monthly limitation.--
``(A) In general.--The amount determined under
paragraph (2) for any month of the taxpayer shall not
exceed the sum of--
``(i) the amounts contributed to a health
savings account of the taxpayer for such month,
plus
``(ii) the premiums paid by the taxpayer
for creditable coverage.
``(B) Carryforward of monthly limitation in case
hsa contributions and premium payments exceed monthly
credit amount.--In the case of any month for which the
amount determined with respect to the taxpayer under
subparagraph (A) exceeds the credit amount determined
with respect to the taxpayer for such month under
paragraph (2), such excess may be carried forward to
any subsequent month during the taxable year for
purposes of determining the limitation under
subparagraph (A).
``(4) Adjustment for limited benefit insurance.--In the
case of a taxpayer whose only health insurance coverage for a
month is limited benefit insurance (as defined in section
123(b) of the Health Care Fairness for All Act), the amount
determined under paragraph (2) shall be decreased by such
proportion as the Secretary, in consultation with the Secretary
of Health and Human Services, determines appropriate, taking
into account the ratio of the actuarial value of such limited
benefit insurance to the average actuarial value of health
insurance coverage that is not limited benefit insurance.
``(c) Coordination With Employer-Provided Health Insurance Tax
Subsidy.--
``(1) Credit limited by employer-provided health insurance
tax subsidy.--The credit allowed under this section for any
taxable year shall not exceed an amount equal to the excess (if
any) of--
``(A) the maximum credit which would be allowed for
all months of the taxpayer during the taxable year
(determined under subsection (b)(2) and without regard
to this subsection, the limitation under subsection
(b)(3), and any reduction under subsection (d)(1)),
over
``(B) the taxpayer's employer-provided health
insurance tax subsidy for the taxable year.
``(2) Excess employer-provided health insurance tax subsidy
included in gross income.--In the case of a taxpayer for whom
subparagraph (B) of paragraph (1) exceeds subparagraph (A) of
such paragraph for the taxable year, the tax imposed by this
chapter shall be increased for such taxable year by the amount
of such excess.
``(3) Employer-provided health insurance tax subsidy.--For
purposes of this subsection--
``(A) In general.--The term `employer-provided
health insurance tax subsidy' means, with respect to
any taxpayer for a taxable year, the sum of--
``(i) the Federal income tax subsidy of the
taxpayer for the taxable year, plus
``(ii) the Federal payroll tax subsidy of
the taxpayer for the taxable year.
``(B) Federal income tax subsidy.--The term
`Federal income tax subsidy' means, with respect to any
taxpayer for the taxable year, the excess (if any) of--
``(i) the amount of tax that would have
been imposed by this chapter for the taxable
year had such tax been determined without
regard to this section and by including amounts
otherwise excluded from gross income which were
paid by or on behalf of the taxpayer for
employer-provided insurance that constitutes
medical care, over
``(ii) the amount of tax imposed by this
chapter for the taxable year (determined
without regard to this section).
``(C) Federal payroll tax subsidy.--The term
`Federal payroll tax subsidy' means, with respect to
any taxpayer for the taxable year, the excess (if any)
of--
``(i) the sum of--
``(I) the amount of tax that would
have been imposed by chapter 21 with
respect to any wages of the taxpayer
paid during the taxable year had such
tax been determined by including
amounts otherwise excluded from wages
which were paid by or on behalf of the
taxpayer during the taxable year for
employer-provided insurance that
constitutes medical care, plus
``(II) the amount of tax that would
have been imposed by chapter 2 on any
self-employment income of the taxpayer
for such taxable year had self-
employment income been determined
without regard to any deduction from
gross income for amounts paid for
insurance which constitutes medical
care for the taxpayer, the taxpayer's
spouse, and any qualifying children
(within the meaning of section 152) for
whom the taxpayer is allowed a
deduction under section 151 for the
taxable year, over
``(ii) the amount of tax imposed with
respect to the taxpayer during such taxable
year under chapter 21 and for such taxable year
under chapter 2.
``(d) Reconciliation of Credit and Advance Credit.--
``(1) In general.--The amount of the credit allowed under
this section for any taxable year (after the application of
subsections (b) and (c)) shall be reduced (but not below zero)
by the amount of any advance payment of such credit under
subsection (e)(1).
``(2) Excess advance payments.--
``(A) In general.--If the advance payments to a
taxpayer under subsection (e)(1) for a taxable year
exceed the credit allowed by this section (determined
without regard to paragraph (1)), the tax imposed by
this chapter for the taxable year shall be increased by
the amount of such excess.
``(B) Limitation on increase.--In the case of a
taxpayer whose household income is less than 400
percent of the poverty line for the size of the family
involved for the taxable year, the amount of the
increase under subparagraph (A) shall in no event
exceed an amount equal to the applicable percentage of
the amount of the credit allowed under this section for
the taxable year, determined in accordance with the
following table (one-half of such amount so determined
in the case of a taxpayer whose tax is determined under
section 1(c) for the taxable year):
------------------------------------------------------------------------
``If the household income (expressed as a The applicable
percent of poverty line) is: percentage is:
------------------------------------------------------------------------
Less than 200%.................................... 30%
At least 200% but less than 300%.................. 50%
At least 300% but less than 400%.................. 80%
------------------------------------------------------------------------
``(e) Special Rules.--For purpose of this section--
``(1) Advance payment program.--
``(A) In general.--The Secretary of the Treasury,
in consultation with the Secretary of Health and Human
Services, shall establish a program--
``(i) to make advance determinations with
respect to the eligibility of individuals for
the credit allowed under this section, and
``(ii) to make advance payments of the
credit allowed under this section, at the
election of any such individual so eligible,
directly to the health savings account of any
such individual, or, as a subsidy to the cost
of health insurance coverage provided to any
such individual, to the health insurance issuer
providing such coverage or the person that
administers the plan benefits with respect to
such coverage.
``(B) Program requirements.--Such program shall be
established under rules similar to the rules of section
1412 of Public Law 111-148, as in effect on the day
before the date of the enactment of this section,
except that advance determinations and advance payments
shall be made on request of the individual with respect
to whom the determination is to be made.
``(2) Information requirements.--
``(A) In general.--Each person providing health
insurance coverage which constitutes medical care, and
each trustee of a health savings account, shall provide
the following information to the Secretary and to the
taxpayer with respect to such coverage or such account:
``(i) The total premium for the coverage
without regard to the credit under this
section.
``(ii) The aggregate amount of any advance
payment of such credit made with respect to
such coverage or to such account.
``(iii) The name, address, age, and TIN of
the primary insured or account holder (as the
case may be) and the name, age, and TIN of each
other individual obtaining coverage under such
policy of insurance.
``(iv) Any information provided to such
person necessary to determine eligibility for,
and the amount of, such credit.
``(v) Information necessary to determine
whether a taxpayer has received excess advance
payments.
``(B) Exception.--Subparagraph (A) shall not apply
to any coverage with respect to which reporting under
section 6051 is required.
``(3) Indexing.--
``(A) In general.--In the case of any calendar year
beginning after 2024, each of the dollar amounts in
subsection (b)(2) and in the table contained under
subsection (d)(2)(B) shall be equal to such dollar
amount multiplied by the ratio of--
``(i) the current dollar gross domestic
product (as determined based on the third
estimate of the Bureau of Economic Analysis of
the Department of Commerce for the second
quarter of the previous year), to
``(ii) the current dollar gross domestic
product (as so determined) for the second
quarter of 2023.
``(B) Rounding.--If the amount of any change under
subparagraph (A) is not a multiple of $50, such change
shall be rounded to the next lowest multiple of $50.
``(f) Definitions.--For purposes of this section--
``(1) Creditable coverage.--
``(A) In general.--The term `creditable coverage'
has the meaning given such term for purposes of title
XXVII of the Public Health Service Act. Such term shall
not include coverage under any health plan that
includes coverage for abortions (other than any
abortion described in subparagraph (B)).
``(B) Exception.--The second sentence of
subparagraph (A) shall not apply to an abortion--
``(i) if the pregnancy is the result of an
act of rape or incest, or
``(ii) in the case where a woman suffers
from a physical disorder, physical injury, or
physical illness that would, as certified by a
physician, place the woman in danger of death
unless an abortion is performed, including a
life-endangering physical condition caused by
or arising from the pregnancy itself.
``(C) Separate abortion coverage or plan allowed.--
``(i) Option to purchase separate coverage
or plan.--Nothing in subparagraph (A) shall be
construed as prohibiting any individual from
purchasing separate coverage for abortions
described in such subparagraph, or a health
plan that includes such abortions, so long as
no credit is allowed under this section with
respect to the premiums for such coverage or
plan.
``(ii) Option to offer coverage or plan.--
Nothing in subparagraph (A) shall restrict any
non-Federal health insurance issuer offering a
health plan from offering separate coverage for
abortions described in such subparagraph, or a
plan that includes such abortions, so long as
premiums for such separate coverage or plan are
not paid for with any amount attributable to
the credit allowed under this section (or the
amount of any advance payment of the credit).
``(2) Qualified resident.--The term `qualified resident'
means an individual who is a citizen or national of the United
States or otherwise lawfully residing in the United States
under color of law.''.
(b) Disqualification From Exchange Plan Subsidies for Individual
Once They Elect Tax Benefits.--Section 36B(c)(1) of such Code is
amended by adding at the end the following new subparagraph:
``(F) Denial of credit for those electing universal
credit.--In the case of an individual who is allowed a
credit under section 36C for any taxable year, no
credit shall be allowed under this section to such
individual for such taxable year or any subsequent
taxable year.''.
(c) Guidance.--The Secretary of the Treasury shall issue such
guidance as is necessary--
(1) to assist employees and employers in adjusting Federal
income tax withholding to take into account the health
insurance tax credit under section 36C of the Internal Revenue
Code of 1986 (and any advance payment thereof), and
(2) to require employers to report to each employee with
respect to periods not longer than quarterly the employer-
provided health insurance tax subsidy (as defined in section
36C(c)(2) of such Code) with respect to such employee for such
period.
(d) Transfers to Federal Old-Age and Survivors Insurance Trust
Fund.--With respect to each individual for whom tax is increased under
section 36C(c)(2), there are hereby appropriated to the Federal Old Age
and Survivors Trust Fund and the Disability Insurance Trust Fund
established under section 201 of the Social Security Act amounts equal
to the amount which bears the same ratio to the amount of such increase
as--
(1) the Federal payroll tax subsidy (as defined in section
36C(c)(3)) of such individual for the taxable year, bears to
(2) the employer-provided health insurance tax subsidy (as
defined in such section) of the individual for the taxable
year.
(e) Clerical Amendment.--The table of sections for subpart C of
part IV of subchapter A of chapter 1 of the Internal Revenue Code of
1986 is amended by inserting after the item relating to section 36B the
following new item:
``Sec. 36C. Health insurance tax credit.''.
(f) Effective Date.--The amendments made by this section shall
apply to taxable years beginning after December 31, 2023.
SEC. 132. APPLICATION OF PORTION OF UNUSED TAX CREDITS BY STATES FOR
INDIGENT HEALTH CARE.
(a) Computation of Unused Credits.--The Secretary, in consultation
with the Secretary of the Treasury, shall calculate for each State for
each year, beginning with 2024, using the most recent data available --
(1) the maximum aggregate amount of credits under section
36C of the Internal Revenue Code of 1986 that would have been
allowed for the year for qualified residents of the State for
taxable years ending in the year if all eligible qualified
residents had qualified for such credits;
(2) the aggregate amount of credits under such section that
were allowed for taxable years ending in the year by qualified
residents of such State; and
(3) 25 percent of the amount by which--
(A) the amount determined under paragraph (1) with
respect to qualified residents of the State for such
year; exceeds
(B) the amount determined under paragraph (2) for
such State for that year.
(b) Appropriation.--For the purpose of making grants to States
under this section, there is hereby appropriated to the Secretary, out
of any funds in the Treasury not otherwise appropriated, for each year
(beginning with 2023) an amount equivalent to the amount determined
under subsection (a)(3) for all States under subsection (a) for the
year in which such fiscal year ends, subject to adjustment under
subsection (d)(2).
(c) Grants to States for Indigent Assistance.--
(1) Application.--A State may file with the Secretary (in a
form and manner specified by the Secretary) an application to
provide assistance in furnishing health services to indigent
individuals residing in the State. Such application shall
demonstrate the manner in which such assistance is furnished in
an equitable manner to individuals residing in all parts of the
State.
(2) Amount of funds.--From the funds appropriated under
subsection (b) for a year, the amount of funds paid to any
State in any year under this section with an application filed
in accordance with paragraph (1) is equal to an amount
specified in the application, but not to exceed the amount
computed under subsection (a)(3) for the State and the year.
(3) Use of funds.--Funds paid to a State under this
subsection may be used only to assist in the furnishing of
health services to uninsured individuals residing in the State
or for purposes of increasing the payment adjustments made
under sections 1886(d)(5)(F) and 1923 of the Social Security
Act (42 U.S.C. 1395ww(d)(5)(F), 1396r-4) to hospitals that
serve a disproportionate share of such individuals in the
State.
(d) Initial Estimate; Final Calculation and Reconciliation.--
(1) Use of estimates.--The calculations under subsection
(a) for a year shall initially be estimated before the
beginning of the year. Payments under this section to a State
for a year shall be made, subject to reconciliation under
paragraph (2), based on the amount so estimated.
(2) Reconciliation based on final calculation.--The
calculations under subsection (a) for a year shall also be made
after the end of the year. Insofar as the amount calculated
under this paragraph for subsection (a)(3) for a State for a
year exceeds (or is less than) by a material amount from the
amount for subsection (a)(3) estimated and applied for the
State and year under paragraph (1), the amount calculated under
subsection (a)(3) for the State for the 2nd year beginning
after such year, shall be reduced or increased, respectively by
the amount of such excess or deficit.
SEC. 133. MEDICAID OPTION OF ENROLLMENT UNDER PRIVATE PLAN AND
CONTRIBUTION TO AN HSA.
(a) In General.--Notwithstanding any other provision of law, a
State plan under title XIX of the Social Security Act (42 U.S.C. 1396
et seq.) may make available to an individual, who is entitled to
medical assistance for a full range of acute care items and services
under such title and at the individual's option, instead of the medical
assistance otherwise provided, medical assistance consisting of
coverage under a health plan that qualifies for a tax credit under
section 36C of the Internal Revenue Code of 1986, but only if the State
provides for the individual medical assistance, in the form of a
deposit into a health savings account for the individual, an amount
equivalent to the amount by which the amount of tax credit for the
individual under such section exceeds the cost of coverage of the
individual under the plan.
(b) FFP Treatment.--The payments by a State described in subsection
(a) for coverage under a health plan and for deposit into a health
savings account shall be treated as medical assistance for purposes of
section 1903 of the Social Security Act (42 U.S.C. 1396b) and subject
to Federal financial participating, including the application of State
matching payments, in the same manner as other medical assistance
furnished under title XIX of such Act, except that such amount shall be
reduced by the amount of any health insurance credits provided under
section 36C of the Internal Revenue Code of 1986 with respect to such
coverage or deposit.
SEC. 134. REPEAL OF REPORTING REQUIREMENTS RELATING TO EMPLOYEE HEALTH
INSURANCE PREMIUMS AND HEALTH PLAN BENEFITS.
(a) Reporting Requirements.--Section 6051(a) of the Internal
Revenue Code of 1986 is amended by striking paragraph (14) and by
redesignating paragraphs (15), (16), and (17) as paragraphs (14), (15),
and (16), respectively.
(b) Effective Dates.--The amendment made by this section shall
apply to calendar years beginning after December 31, 2018.
SEC. 135. REPORT.
For each year beginning on or after the date of the enactment of
this Act, the Secretary of Health and Human Services shall submit to
Congress a report on the extent to which health insurance tax credits
allowed under section 36C of the Internal Revenue Code of 1986, as
added by this Act, are sufficient to cover the cost of health insurance
coverage for individuals electing to purchase such coverage.
Subtitle D--Medicare Reforms
SEC. 141. PHYSICIAN-OWNED HOSPITALS.
The amendments made by section 6001 of Public Law 111-148 are
repealed and the provisions amended by such section are restored as if
such amendments had never occurred.
SEC. 142. PROHIBITING THE USE OF AN INPATIENT-ONLY LIST IN DESIGNATING
HOSPITAL OUTPATIENT SERVICES UNDER THE MEDICARE PROGRAM.
Section 1833(t)(1) of the Social Security Act (42 U.S.C.
1395l(t)(1)) is amended by adding at the end the following new
subparagraph:
``(C) Prohibition on use of an inpatient-only
list.--In designating outpatient hospital services
pursuant to subparagraph (B)(i), the Secretary may not
refuse to so designate such a service based solely on
the Secretary's determination that such service may
only be safely furnished in an inpatient setting.''.
SEC. 143. PROMOTING MEDICARE SITE-NEUTRAL PAYMENTS.
(a) Removing Certain Exceptions to the Definition of an Off-Campus
Outpatient Department of a Provider.--
(1) In general.--Section 1833(t)(21)(B) of the Social
Security Act (42 U.S.C. 1395l(t)(21)(B)) is amended to read as
follows:
``(B) Off-campus outpatient department of a
provider.--For purposes of paragraph (1)(B)(v) and this
paragraph, the term `off-campus outpatient department
of a provider' means a department of a provider (as
defined in section 413.65(a)(2) of title 42 of the Code
of Federal Regulations, as in effect as of the date of
the enactment of the Bipartisan Budget Act of 2015)
that is not located--
``(i) on the campus (as defined in such
section 413.65(a)(2)) of such provider; or
``(ii) within the distance (described in
such definition of campus) from a remote
location of a hospital facility (as defined in
such section 413.65(a)(2)).''.
(2) Effective date.--The amendment made by paragraph (1)
shall apply with respect to items and services furnished on or
after January 1, 2024.
(3) Removing site-neutral exception for off-campus
emergency departments.--Section 1833(t)(21)(A) of the Social
Security Act (42 U.S.C. 1395l(t)(21)(A)) is amended by
inserting ``before January 1, 2024'' after ``furnished''.
(4) Clarifying secretarial authority to promote site-
neutral payments.--Section 1833(t)(2)(F) of the Social Security
Act (42 U.S.C. 1395l(t)(2)(F)) is amended by adding at the end
the following new sentence: ``Such method may include actions
determined appropriate by the Secretary to promote site-neutral
payment policies to reduce expenditures attributable to items
and services furnished under this part, such as actions to
prevent hospitals from billing for items and services furnished
at an off-campus outpatient department of a provider as if such
items and services were furnished at such hospital.''.
(b) Ensuring Separate NPIs for Off-Campus Outpatient Departments of
a Provider.--
(1) In general.--Section 1173(b) of the Social Security Act
(42 U.S.C. 1320d-2(b)) is amended by adding at the end the
following new paragraph:
``(3) Ensuring separate npis for off-campus outpatient
departments of a provider.--The standards specified under
paragraph (1) shall ensure that, not later than January 1,
2024, each off-campus outpatient department of a provider (as
defined in section 1833(t)(21)(B)) is assigned a separate
unique health identifier from such provider.''.
(2) Treatment of certain departments as subparts of a
hospital.--Not later than January 1, 2024, the Secretary of
Health and Human Services shall revise sections 162.408 and
162.410 of title 45, Code of Federal Regulations, to ensure
that each off-campus outpatient department of a provider (as
defined in section 1833(t)(21)(B) of the Social Security Act
(42 U.S.C. 1395l(t)(21)(B))) is treated as a subpart (as
described in such sections) of such provider and assigned a
unique health identifier pursuant to section 1173(b)(3) of such
Act (as added by paragraph (1)).
SEC. 144. MEDICARE ADVANTAGE CONTRIBUTIONS TO ROTH HSAS FOR CHRONICALLY
ILL ENROLLEES.
Section 1852(a)(3)(D) of the Social Security Act (42 U.S.C. 1395w-
22(a)(3)(D)) is amended--
(1) by striking ``are supplemental benefits'' and inserting
the following: ``are
``(aa) supplemental
benefits'';
(2) by striking the period at the end of item (aa), as
inserted by paragraph (1), and inserting ``; and''; and
(3) by adding at the end the following new item:
``(bb) deposits made to a
Roth HSA (as described in
section 530A of the Internal
Revenue Code of 1986) of a
chronically ill enrollee.''.
SEC. 145. EXTENDING ACUTE HOSPITAL CARE AT HOME WAIVER FLEXIBILITIES.
Section 1812 of the Social Security Act (42 U.S.C. 1395d) is
amended--
(1) by redesignating subsection (g) as subsection (h); and
(2) by inserting after subsection (f) the following new
subsection:
``(g)(1) Beginning on the date of the enactment of this subsection,
inpatient hospital services or inpatient critical access hospital
services described in subsection (a)(1) shall include services
(including telehealth services as defined in section 1834(m)) furnished
to an individual by an Acute Hospital Care at Home Program (as defined
by the Secretary).
``(2) With respect to telehealth services furnished by an Acute
Hospital Care at Home Program described in paragraph (1), the
requirements described in section 1834(m)(4)(C)(i) shall not apply and
the sites described in section 1834(m)(4)(C)(ii) shall include the home
or temporary residence of the individual.
``(3) With respect to services furnished in the home or temporary
residence of the individual through an Acute Hospital Care at Home
Program, the requirement for providing 24-hour nursing services and
immediate availability of nursing services as conditions of
participation shall also be satisfied by providing virtual access to
nurses, advanced practice providers, or physicians 24 hours per day.
``(4) With respect to services furnished in the home or temporary
residence of the individual through an Acute Hospital Care at Home
Program, life safety code requirements shall be deemed satisfied for
homes or temporary residences determined to be safe and appropriate for
this care by the Acute Hospital Care at Home Program.
``(5) Not later than 12 months after the date of the enactment of
this subsection, the Secretary shall issue regulations establishing
health and safety requirements for Acute Hospital Care at Home
Programs.''.
TITLE II--IMPROVING HEALTH SAVINGS ACCOUNTS TO PROMOTE ACCOUNTABILITY
SEC. 201. TRANSITION TO NON-DEDUCTIBLE HSAS.
(a) Non-Deductible HSAs.--Subchapter F of chapter 1 of the Internal
Revenue Code of 1986 is amended by adding at the end the following new
part:
``PART IX--ROTH HEALTH SAVINGS ACCOUNTS
``Sec. 530A. Roth HSAs.
``SEC. 530A. ROTH HSAS.
``(a) In General.--A Roth HSA shall be exempt from taxation under
this subtitle. Notwithstanding the preceding sentence, the Roth HSA
shall be subject to the taxes imposed by section 511 (relating to
imposition of tax on unrelated business income of charitable
organizations). No deduction shall be allowed for any contribution to a
Roth HSA.
``(b) Dollar Limitation.--
``(1) In general.--The aggregate amount of contributions
for any taxable year to all Roth HSAs maintained for the
benefit of an individual shall not exceed the sum of the
monthly limitations for any month during such taxable year that
the individual is an eligible individual.
``(2) Monthly limitation.--The monthly limitation for any
month is \1/12\ of--
``(A) in the case of an eligible individual who has
self-only creditable coverage as of the first day of
such month, $5,000, and
``(B) in the case of an eligible individual who has
family creditable coverage as of the first day of such
month, the amount in effect under subparagraph (A) for
the taxable year multiplied by the number of
individuals (including the eligible individual) covered
under such family creditable coverage as of such day.
``(3) Additional contributions for individuals 55 or
older.--In the case of an individual who has attained age 55
before the close of the taxable year, the applicable limitation
under subparagraphs (A) and (B) of paragraph (2) shall be
increased by $1,000.
``(4) Coordination with other contributions.--The
limitation which would (but for this paragraph) apply under
this subsection to an individual for any taxable year shall be
reduced (but not below zero) by the sum of--
``(A) the aggregate amount paid for such taxable
year to Archer MSAs of such individual,
``(B) the aggregate amount contributed to Roth HSAs
of such individual which is excludable from the
taxpayer's gross income for such taxable year under
section 106(d) (and such amount shall not be allowed as
a deduction under subsection (a)), and
``(C) the aggregate amount contributed to Roth HSAs
of such individual for such taxable year under section
408(d)(9) (and such amount shall not be allowed as a
deduction under subsection (a)).
Subparagraph (A) shall not apply with respect to any individual
to whom paragraph (5) applies.
``(5) Special rule for married individuals.--In the case of
individuals who are married to each other, if either spouse has
family coverage--
``(A) both spouses shall be treated as having only
such family coverage (and if such spouses each have
family coverage under different plans, as having the
family coverage with the lowest annual deductible), and
``(B) the limitation under paragraph (1) (after the
application of subparagraph (A) and without regard to
any additional contribution amount under paragraph
(3))--
``(i) shall be reduced by the aggregate
amount paid to Archer MSAs of such spouses for
the taxable year, and
``(ii) after such reduction, shall be
divided equally between them unless they agree
on a different division.
``(6) Denial of deduction to dependents.--No contribution
may be made to a Roth HSA under this section by any individual
with respect to whom a deduction under section 151 is allowable
to another taxpayer for a taxable year beginning in the
calendar year in which such individual's taxable year begins.
``(7) Increase in limit for individuals becoming eligible
individuals after the beginning of the year.--
``(A) In general.--For purposes of computing the
limitation under paragraph (1) for any taxable year, an
individual who is an eligible individual during the
last month of such taxable year shall be treated--
``(i) as having been an eligible individual
during each of the months in such taxable year,
and
``(ii) as having been enrolled, during each
of the months such individual is treated as an
eligible individual solely by reason of clause
(i), in the same high deductible health plan in
which the individual was enrolled for the last
month of such taxable year.
``(B) Failure to maintain creditable coverage.--
``(i) In general.--If, at any time during
the testing period, the individual is not an
eligible individual, then--
``(I) gross income of the
individual for the taxable year in
which occurs the first month in the
testing period for which such
individual is not an eligible
individual is increased by the
aggregate amount of all contributions
to the Roth HSA of the individual which
could not have been made but for
subparagraph (A), and
``(II) the tax imposed by this
chapter for any taxable year on the
individual shall be increased by 10
percent of the amount of such increase.
``(ii) Exception for disability or death.--
Subclauses (I) and (II) of clause (i) shall not
apply if the individual ceased to be an
eligible individual by reason of the death of
the individual or the individual becoming
disabled (within the meaning of section
72(m)(7)).
``(iii) Testing period.--The term `testing
period' means the period beginning with the
last month of the taxable year referred to in
subparagraph (A) and ending on the last day of
the 12th month following such month.
``(c) Roth HSA.--For purposes of this section--
``(1) In general.--The term `Roth HSA' means a trust
created or organized in the United States as a Roth HSA
exclusively for the purpose of paying the qualified medical
expenses of the account beneficiary, but only if the written
governing instrument creating the trust meets the following
requirements:
``(A) Except in the case of a rollover contribution
described in subsection (f)(5) or section 220(f)(5), no
contribution will be accepted--
``(i) unless it is in cash, or
``(ii) to the extent such contribution,
when added to previous contributions to the
trust for the calendar year, exceeds the sum
of--
``(I) the dollar amount in effect
under subsection (b)(2)(B), and
``(II) the dollar amount in effect
under subsection (b)(3).
``(B) The trustee is a bank (as defined in section
408(n)), an insurance company (as defined in section
816), or another person who demonstrates to the
satisfaction of the Secretary that the manner in which
such person will administer the trust will be
consistent with the requirements of this section.
``(C) No part of the trust assets will be invested
in life insurance contracts.
``(D) The assets of the trust will not be
commingled with other property except in a common trust
fund or common investment fund.
``(E) The interest of an individual in the balance
in his account is nonforfeitable.
``(2) Qualified medical expenses.--For purposes of this
section--
``(A) In general.--The term `qualified medical
expenses' means, with respect to an account
beneficiary, amounts paid by such beneficiary for
medical care (as defined in section 213(d)) for such
individual, the spouse of such individual, and any
dependent (as defined in section 152, determined
without regard to subsections (b)(1), (b)(2), and
(d)(1)(B) thereof) of such individual, but only to the
extent such amounts are not compensated for by
insurance or otherwise.
``(B) Limitation on health insurance purchased from
account.--Such term shall not include any payment for
health benefits coverage that is not creditable
coverage (as defined in section 36C).
``(C) Exceptions.--Subparagraph (B) shall not apply
to any expense for coverage under--
``(i) a health plan during any period of
continuation coverage required under any
Federal law,
``(ii) a qualified long-term care insurance
contract (as defined in section 7702B(b)),
``(iii) a health plan during a period in
which the individual is receiving unemployment
compensation under any Federal or State law, or
``(iv) in the case of an account
beneficiary who has attained the age specified
in section 1811 of the Social Security Act, any
health insurance other than a medicare
supplemental policy (as defined in section 1882
of the Social Security Act).
``(3) Account beneficiary.--The term `account beneficiary'
means the individual on whose behalf the Roth HSA was
established.
``(4) Certain rules to apply.--Rules similar to the
following rules shall apply for purposes of this section:
``(A) Section 219(f)(3) (relating to time when
contributions deemed made).
``(B) Except as provided in section 106(d), section
219(f)(5) (relating to employer payments).
``(C) Section 408(g) (relating to community
property laws).
``(D) Section 408(h) (relating to custodial
accounts).
``(d) Eligible Individual; Creditable Coverage.--For purposes of
this section--
``(1) Eligible individual.--
``(A) In general.--The term `eligible individual'
means, with respect to any month, any individual if
such individual is covered under creditable coverage as
of the first day of such month.
``(B) Exception.--An individual shall not be
treated as an eligible individual for any month for
which a credit is determined with respect to the
individual under section 36B.
``(2) Creditable coverage.--The term `creditable coverage'
shall have the meaning given such term in section 36C(f).
``(e) Tax Treatment of Distributions.--
``(1) Amounts used for qualified medical expenses.--Any
amount paid or distributed out of a Roth HSA which is used
exclusively to pay qualified medical expenses of any account
beneficiary shall not be includible in gross income.
``(2) Inclusion of amounts not used for qualified medical
expenses.--Any amount paid or distributed out of a Roth HSA
which is not used exclusively to pay the qualified medical
expenses of the account beneficiary shall be included in the
gross income of such beneficiary.
``(3) Excess contributions returned before due date of
return.--
``(A) In general.--If any excess contribution is
contributed for a taxable year to any Roth HSA of an
individual, paragraph (2) shall not apply to
distributions from the Roth HSAs of such individual (to
the extent such distributions do not exceed the
aggregate excess contributions to all such accounts of
such individual for such year) if--
``(i) such distribution is received by the
individual on or before the last day prescribed
by law (including extensions of time) for
filing such individual's return for such
taxable year, and
``(ii) such distribution is accompanied by
the amount of net income attributable to such
excess contribution.
Any net income described in clause (ii) shall be
included in the gross income of the individual for the
taxable year in which it is received.
``(B) Excess contribution.--For purposes of
subparagraph (A), the term `excess contribution' means
any contribution (other than a rollover contribution
described in paragraph (5) or section 220(f)(5)) which
exceeds the contribution limitation with respect to the
individual for the taxable year.
``(4) Additional tax on distributions not used for
qualified medical expenses.--
``(A) In general.--The tax imposed by this chapter
on the account beneficiary for any taxable year in
which there is a payment or distribution from a Roth
HSA of such beneficiary which is includible in gross
income under paragraph (2) shall be increased by 10
percent of the amount which is so includible.
``(B) Exception for disability or death.--
Subparagraph (A) shall not apply if the payment or
distribution is made after the account beneficiary
becomes disabled within the meaning of section 72(m)(7)
or dies.
``(C) Exception for distributions after medicare
eligibility.--Subparagraph (A) shall not apply to any
payment or distribution after the date on which the
account beneficiary attains the age specified in
section 1811 of the Social Security Act.
``(5) Rollover contribution.--An amount is described in
this paragraph as a rollover contribution if it meets the
requirements of subparagraphs (A) and (B).
``(A) In general.--Paragraph (2) shall not apply to
any amount paid or distributed from a health savings
account (as defined in section 223) or a Roth HSA to
the account beneficiary to the extent the amount
received is paid into a Roth HSA for the benefit of
such beneficiary not later than the 60th day after the
day on which the beneficiary receives the payment or
distribution.
``(B) Limitation.--This paragraph shall not apply
to any amount described in subparagraph (A) received by
an individual from a health savings account or a Roth
HSA if, at any time during the 1-year period ending on
the day of such receipt, such individual received any
other amount described in subparagraph (A) from a
health savings account or Roth HSA which was not
includible in the individual's gross income because of
the application of this paragraph.
``(6) Transfer of account incident to divorce.--The
transfer of an individual's interest in a Roth HSA to an
individual's spouse or former spouse under a divorce or
separation instrument described in subparagraph (A) of section
71(b)(2) shall not be considered a taxable transfer made by
such individual notwithstanding any other provision of this
subtitle, and such interest shall, after such transfer, be
treated as a Roth HSA with respect to which such spouse is the
account beneficiary.
``(7) Treatment after death of account beneficiary.--If an
individual acquires an account beneficiary's interest in a
health savings account by reason of the death of the account
beneficiary, such health savings account shall be treated as if
the individual were the account beneficiary.
``(f) Cost-of-Living Adjustment.--
``(1) In general.--In the case of any calendar year
beginning after 2024, the $5,000 dollar amount in subsection
(b)(2) shall be increased by an amount equal to--
``(A) such dollar amount, multiplied by
``(B) the cost-of-living adjustment determined
under section 1(f)(3) for the calendar year,
determined--
``(i) by substituting `calendar year 2023'
for `calendar year 1992' in subparagraph (B)
thereof, and
``(ii) by substituting `CPI medical care
component' for `CPI'.
``(2) CPI medical care component.--For purposes of this
paragraph, the term `CPI medical care component' means the
medical care component for the Consumer Price Index for All
Urban Consumers published by the Department of Labor.
``(3) Rounding.--If the amount of any increase under the
preceding sentence is not a multiple of $50, such increase
shall be rounded to the next lowest multiple of $50.
``(g) Reports.--The Secretary may require--
``(1) the trustee of a Roth HSA to make such reports
regarding such account to the Secretary and to the account
beneficiary with respect to contributions, distributions, the
return of excess contributions, and such other matters as the
Secretary determines appropriate, and
``(2) any person who provides an individual with creditable
coverage to make such reports to the Secretary and to the
account beneficiary with respect to such plan as the Secretary
determines appropriate.
The reports required by this subsection shall be filed at such time and
in such manner and furnished to such individuals at such time and in
such manner as may be required by the Secretary.
``(h) Cross-Reference.--For contributions from Medicare Advantage
plans of chronically ill enrollees, see section 1852(a)(3)(D)(ii)(I) of
the Social Security Act.''.
(b) Limit on Contributions to Deductible Health Savings Accounts.--
Section 223 of such Code is amended by adding at the end the following
new subsection:
``(i) Limited Contributions After 2023.--
``(1) In general.--No contribution may be accepted by a
health savings account after December 31, 2023.
``(2) Exceptions.--Paragraph (1) shall not apply--
``(A) in the case of a rollover contribution
described in subsection (f)(5) or section 220(f)(5), or
``(B) in the case of a month for which an
individual is covered by insurance that constitutes
medical care and that is provided by an employer with
respect to which an election is in effect for such
month under section 131(b) of the Health Care Fairness
for All Act.''.
(c) Clerical Amendment.--The table of parts for subchapter F of
chapter 1 of such Code is amended by adding at the end the following
new item:
``Part IX. Roth Health Savings Accounts''.
(d) Effective Date.--The amendments made by this section shall
apply to taxable years beginning after December 31, 2023.
SEC. 202. ELIMINATION OF MEDICAL EXPENSE DEDUCTION.
Section 213 of the Internal Revenue Code of 1986 is amended by
adding at the end the following new subsection:
``(f) Termination.--Except in the case of long-term care premiums
(as defined in subsection (d)(10)), subsection (a) shall not apply to
any amounts paid during any taxable year beginning after December 31,
2023.''.
SEC. 203. TREATMENT OF HSA AFTER DEATH OF ACCOUNT BENEFICIARY.
(a) In General.--Section 223(f)(8) of the Internal Revenue Code of
1986 is amended to read as follows:
``(8) Treatment after death of account beneficiary.--If an
individual acquires an account beneficiary's interest in a
health savings account by reason of the death of the account
beneficiary, such health savings account shall be treated as if
the individual were the account beneficiary.''.
(b) Effective Date.--The amendment made by this section shall apply
with respect to interests acquired after the date of the enactment of
this Act.
SEC. 204. TREATMENT OF DIRECT PATIENT CARE ARRANGEMENTS.
(a) HSAs.--
(1) Roth hsa.--Section 530A(c)(2)(A) of the Internal
Revenue Code of 1986, as added by section 201 of this Act, is
amended by adding at the end the following: ``Such term shall
include the payment of a monthly or other prepaid amount for
the furnishing (or access to the furnishing) by a physician or
group of physicians of physician professional services (and
ancillary services).''.
(2) HSA.--Section 223(d)(2)(A) of such Code is amended by
adding at the end the following: ``The term `qualified medical
expenses' shall include the payment of a monthly or other
prepaid amount for the furnishing (or access to the furnishing)
by a physician or group of physicians of physician professional
services (and ancillary services).''.
(b) Not Treated as Health Insurance Coverage.--
(1) In general.--For purposes of title XXVII of the Public
Health Service Act (42 U.S.C. 300gg), subtitle B of title I of
the Employee Retirement and Income Security Act of 1974 (29
U.S.C. 1021 et seq.), Public Law 111-148, and this Act, the
offering of direct patient care arrangements shall not be
treated as the offering of health insurance coverage and shall
not be subject to regulations as such coverage under such Acts.
(2) Direct patient care arrangement defined.--In this
subsection, the term ``direct patient care arrangement'' means
the furnishing (or access to the furnishing) by a physician or
group of physicians of physician professional services (and
ancillary services) in return for payment of a monthly or other
prepaid amount.
TITLE III--STATE FLEXIBILITY IN REGULATION OF HEALTH INSURANCE COVERAGE
SEC. 301. STATE FLEXIBILITY IN REGULATION OF HEALTH INSURANCE COVERAGE.
(a) In General.--States are given the flexibility under section
122(b) to revise their regulations of the health insurance marketplace,
without regard to many of the requirements imposed under Public Law
111-148, in order to promote freedom of choice of affordable health
insurance coverage options offered outside of an Exchange.
(b) Construction.--Nothing in the Employee Retirement and Income
Security Act of 1974 (29 U.S.C. 1001 et seq.) or of any amendments made
by the Health Insurance Portability and Accountability Act of 1996
(Public Law 104-191) shall be interpreted as preventing an employer
from offering, or making an employer contribution towards, individual
health insurance coverage for employees and dependent family members.
(c) Association Health Plans.--Nothing in this Act shall be
construed as prohibiting the formation of association health plans (as
defined under State law).
(d) High-Risk Pools.--Nothing in this Act shall be construed as
prohibiting States from establishing pooling arrangements for high-risk
individuals.
TITLE IV--MEDICAID PAYMENT REFORM
SEC. 401. MEDICAID PAYMENT REFORM TO ENSURE EQUITABLE ACCESS TO CARE.
(a) In General.--Title XIX of the Social Security Act (42 U.S.C.
1396 et seq.) is amended by inserting after section 1903 the following
section:
``SEC. 1903A. REFORMED PAYMENT TO STATES.
``(a) Reformed Payment System.--
``(1) In general.--For quarters beginning on or after the
implementation date (as defined in subsection (k)(1)), in lieu
of amounts otherwise payable to a State under this title
(including any payments attributable to section 1923), except
as otherwise provided in this section, the amount payable to
such State shall be equal to the sum of the following:
``(A) Adjusted aggregate beneficiary-based
amount.--The aggregate beneficiary-based amount
specified in subsection (b) for the quarter and the
State, adjusted under subsection (e).
``(B) Chronic care quality bonus.--The amount (if
any) of the chronic care quality bonus payment
specified in subsection (f) for the quarter for the
State.
``(2) Requirement of state share.--
``(A) In general.--A State shall make, from non-
Federal funds, expenditures in an amount equal to its
State share (as determined under subparagraph (B)) for
a quarter for items, services, and other costs for
which, but for paragraph (1), Federal funds would have
been payable under this title.
``(B) State share.--The State share for a State for
a quarter in a fiscal year is equal to the product of--
``(i) the aggregate beneficiary-based
amount specified in subsection (b) for the
quarter and the State; and
``(ii) the ratio of--
``(I) the State percentage
described in subparagraph (D)(ii) for
such State and fiscal year; to
``(II) the Federal percentage
described in subparagraph (D)(i) for
such State and fiscal year.
``(C) Nonpayment for failure to pay state share.--
``(i) In general.--If a State fails to
expend the amount required under subparagraph
(A) for a quarter in a fiscal year, the amount
payable to the State under paragraph (1) shall
be reduced by the product of the amount by
which the State payment is less than the State
share and the ratio of--
``(I) the Federal percentage
described in subparagraph (D)(i) for
such State and fiscal year; to
``(II) the State percentage
described in subparagraph (D)(ii) for
such State and fiscal year.
``(ii) Grace period.--A State shall not be
considered to have failed to provide payment of
its required State share for a quarter under
subparagraph (A) if the aggregate State payment
towards the State's required State share for
the 4-quarter period beginning with such
quarter exceeds the required State share amount
for such 4-quarter period.
``(D) Federal and state percentages.--In this
paragraph, with respect to a State and a fiscal year:
``(i) Federal percentage.--The Federal
percentage described in this clause is 75
percent or, if higher, the Federal medical
assistance percentage for such State for such
fiscal year.
``(ii) State percentage.--The State
percentage described in this clause is 100
percent minus the Federal percentage described
in clause (i).
``(E) Rules for crediting toward state share.--
``(i) General limitation to matchable
expenditures.--A payment for expenditures shall
not be counted toward the State share under
subparagraph (A) unless Federal payments may be
used for such expenditures consistent with
paragraph (3)(B).
``(ii) Further limitations on allowable
expenditures.--A payment for expenditures shall
not be counted towards the State share under
subparagraph (A) if the expenditure is for any
of the following:
``(I) Abortion.--Expenditures for
an abortion.
``(II) Intergovernmental
transfers.--An expenditure that is
attributable to an intergovernmental
transfer.
``(III) Certified public
expenditures.--An expenditure that is
attributable to certified public
expenditures.
``(iii) Crediting fraud and abuse
recoveries.--Amounts recovered by a State
through the operation of its Medicaid fraud and
abuse control unit described in section 1903(q)
shall be fully counted toward the State share
under subparagraph (A).
``(F) Construction.--Nothing in the paragraph shall
be construed as preventing a State from expending, from
non-Federal funds, an amount under this title in excess
of the amount of the State share.
``(G) Determination based upon submitted claims.--
In applying this paragraph with respect to expenditures
of a State for a quarter, the determination of the
expenditures for such State for such quarter shall be
made after the end of the period (which, as of the date
of the enactment of this section, is 2 years) for which
the Secretary accepts claims for payment under this
title with respect to such quarter.
``(3) Use of federal payments.--
``(A) Application of medicaid limitations.--A State
may only use Federal payments received under subsection
(a) for expenditures for which Federal funds would have
been payable under this title but for this section.
``(B) Limitation for certain eligibles.--
``(i) Application of 100 percent federal
poverty line limit on eligibility.--Subject to
clause (iii), a State may not use such Federal
payments to provide medical assistance for an
individual who has an income (as determined
under clause (ii)) that exceeds 100 percent of
the poverty line (as defined in section
2110(c)(5)) applicable to a family of the size
involved.
``(ii) Determination of income using
modified adjusted gross income without any 5
percent increase.--In determining income for
purposes of clause (i) under section
1902(e)(14) (relating to modified adjusted
gross income), the following rules shall apply:
``(I) Application of spend down.--
The State shall take into account the
costs incurred for medical care or for
any other type of remedial care
recognized under State law in the same
manner and to the same extent that such
State takes such costs into account for
purposes of section 1902(a)(17).
``(II) Disregard of 5 percent
increase.--Subparagraph (I) of section
1902(e)(14) (relating to a 5 percent
reduction) shall not apply.
``(iii) Exception.--Clause (i) shall not
apply to an individual who is--
``(I) a woman described in clause
(i) of section 1903(v)(4)(A);
``(II) a child who is an individual
described in clause (i) of section
1905(a);
``(III) enrolled in a State plan
under this title as of the date of the
enactment of this section for the
period of continuous enrollment; or
``(IV) described in section
1902(e)(14)(D) (relating to modified
adjusted gross income).
``(iv) Clarification related to community
spouse.--Nothing in this subparagraph shall
supersede the application of section 1924
(related to community spouse income and
assets).
``(4) Exceptions for pass-through payments.--
``(A) In general.--Paragraph (1) shall not apply,
and amounts shall continue to be payable under this
title (and not under subsection (a)), in the case of
the following payments (and related administrative
costs and expenditures):
``(i) Payments to territories.--Payments to
a State other than the 50 States and the
District of Columbia.
``(ii) Medicare cost sharing.--Payments
attributable to Medicare cost sharing under
section 1905(p).
``(iii) Pediatric vaccines.--Payments
attributable to section 1928.
``(iv) Emergency services for certain
individuals.--Payments for treatment of
emergency medical conditions attributable to
the application of section 1903(v)(2).
``(v) Indian health care facilities.--
Payments for medical assistance described in
the third sentence of section 1905(b).
``(vi) Employer-sponsored insurance
(esi).--Payments for medical assistance
attributable to payments to employers for
employer-sponsored health benefits coverage.
``(vii) Other populations with limited
benefit coverage.--Other payments that are
determined by the Secretary to be related to a
specified population for which the medical
assistance under this title is limited and does
not include any inpatient, nursing facility, or
long-term care services.
``(B) Certain expenses.--Paragraph (1) shall not
apply, and amounts shall continue to be payable under
this title (and not under subsection (a)), in the case
of the following:
``(i) Administration of medicare
prescription drug benefit.--Expenditures
described in section 1935(b) (relating to
administration of the Medicare prescription
drug benefit).
``(ii) Payments for hit bonuses.--Payments
under section 1903(a)(3)(F) (relating to
payments to encourage the adoption and use of
certified EHR technology).
``(iii) Payments for design, development,
and installation of mmis and eligibility
systems.--Payments under subparagraphs (A)(i)
and (H)(i) of section 1903(a)(3) for
expenditures for design, development, and
installation of the Medicaid management
information systems and mechanized verification
and information retrieval systems (related to
eligibility).
``(5) Payment of amounts.--
``(A) In general.--Except as the Secretary may
otherwise provide, amounts shall be payable to a State
under subsection (a) in the same manner as amounts are
payable under subsection (d) of section 1903 to a State
under subsection (a) of such section.
``(B) Information and forms.--
``(i) Submission.--As a condition of
receiving payment under subsection (a), a State
shall submit such information, in such form,
and manner, as the Secretary shall specify,
including information necessary to make the
computations under subsections (c)(2)(C) and
(e).
``(ii) Uniform reporting.--The Secretary
shall develop such forms as may be needed to
assure a system of uniform reporting of such
information across States.
``(C) Required reporting of information on medical
loss ratios for managed care.--The information required
to be reported under subparagraph (B)(i) shall include
information on the medical loss ratio with respect to
coverage provided under each Medicaid managed care plan
with a contract with the State under section 1903(m) or
1932.
``(b) Aggregate Beneficiary-Based Amount.--
``(1) In general.--The aggregate beneficiary-based amount
specified in this subsection for a State for a quarter is equal
to the sum of the products, for each of the categories of
Medicaid beneficiaries specified in paragraph (2), of the
following:
``(A) Beneficiary-based quarterly amount.--The
beneficiary-based quarterly amount for such category
computed under subsection (c) for such State for such
quarter.
``(B) Number of individuals in category.--Subject
to subsection (d), the average number of Medicaid
beneficiaries enrolled in such category in the State in
such quarter.
``(2) Categories.--The categories specified in this
paragraph are the following:
``(A) Elderly.--A category of Medicaid
beneficiaries who are 65 years of age or older.
``(B) Blind or disabled.--A category of Medicaid
beneficiaries not described in subparagraph (A) who are
described in section 1937(a)(2)(B)(ii).
``(C) Children.--A category of Medicaid
beneficiaries not described in subparagraph (B) who are
under 21 years of age.
``(D) Other adults.--A category of any Medicaid
beneficiaries who are not described in a previous
subparagraph of this paragraph.
``(c) Computation of Per Beneficiary, Per Category Quarterly
Amount.--
``(1) In general.--For a State, for each category of
beneficiary for a quarter--
``(A) First reform year.--For quarters in the first
reform year (as defined in subsection (k)(2)), the
beneficiary-based quarterly amount is equal to \1/4\ of
the base average per beneficiary Federal payments for
such State for such category determined under paragraph
(2), increased by a factor that reflects the sum of the
following:
``(i) Historical medical care component of
cpi through previous reform year.--The
percentage increase in the historical medical
care component of the Consumer Price Index for
all urban consumers (U.S. city average) from
the midpoint of the base fiscal year (as
defined in paragraph (6)) to the midpoint of
the fiscal year preceding the first reform
year.
``(ii) Projected medical care component of
cpi for the first reform year.--The percentage
increase in the projected medical care
component of the Consumer Price Index for all
urban consumers (U.S. city average) from the
midpoint of the previous fiscal year referred
to in clause (i) to the midpoint of the first
reform year.
``(B) Second and third reform years.--The
beneficiary-based quarterly amount for a State for a
category for quarters in the second reform year or the
third reform year is equal to the beneficiary-based
quarterly amount under this paragraph for such State
and category for the previous reform year increased by
the per beneficiary percentage increase (as defined in
subparagraph (E)) for such category and reform year.
``(C) Fourth through tenth reform years.--The
beneficiary-based quarterly amount for a State for a
category for quarters in a reform year beginning with
the fourth reform year and ending with the tenth reform
year is--
``(i) in the case of a State that is a high
per beneficiary State or a low per beneficiary
State (as defined in paragraph (4)(B)(iii)) for
the category, the amount determined under
clause (i) or (ii) of paragraph (4)(B) for such
State, category, and reform year; or
``(ii) in the case of any other State, the
beneficiary-based quarterly amount under this
paragraph for such State and category for the
previous reform year increased by the per
beneficiary percentage increase for such
category and reform year.
``(D) Eleventh reform year and subsequent reform
years.--The beneficiary-based quarterly amount for a
State for a category for quarters in a reform year
beginning with the eleventh reform year is equal to the
beneficiary-based quarterly amount under this paragraph
for such State and category for the previous reform
year increased by the per beneficiary percentage
increase for such category and reform year.
``(E) Annual percentage increase beginning with
second reform year.--For purposes of this subsection,
the term `per beneficiary percentage increase' means,
for a reform year, the sum of--
``(i) the projected percentage change in
nominal gross domestic product from the
midpoint of the previous reform year to the
midpoint of the reform year for which the
percentage increase is being applied; and
``(ii) one percentage point.
``(2) Base per beneficiary, per category amount for each
state.--
``(A) Average per category.--
``(i) In general.--The Secretary shall
determine, consistent with this paragraph and
paragraph (3), a base per beneficiary, per
category amount for each of the 50 States and
the District of Columbia equal to the average
amount, per Medicaid beneficiary, of Federal
payments under this title, including payments
attributable to disproportionate share hospital
payments under section 1923, for each of the
categories of beneficiaries under subsection
(b)(2) for the base fiscal year for each of the
50 States and the District of Columbia.
``(ii) Best available data.--The
determination under clause (i) shall initially
be estimated by the Secretary, based upon the
best available data at the time the
determination is made.
``(iii) Updates.--The determination under
clause (i) shall be updated by the Secretary on
an annual basis based upon improved data. The
Secretary shall adjust the amounts under
subsection (a)(1)(A) to reflect changes in the
amounts so determined based on such updates.
``(B) Exclusion of pass-through payments.--In
computing base per beneficiary, per category amounts
under subparagraph (A)(i) the Secretary shall exclude
payments described in subsection (a)(4).
``(C) Standardization.--
``(i) In general.--In computing each such
amount, the Secretary shall standardize the
amount in order to remove the variation
attributable to the following:
``(I) Risk factors.--Such risk
factors as age, health and disability
status (including high cost medical
conditions), gender, institutional
status, and such other factors as the
Secretary determines to be appropriate,
so as to ensure actuarial equivalence.
``(II) Geographic.--Variations in
costs on a county-by-county basis.
``(ii) Method of standardization.--
``(I) Consultation in development
of risk standardization.--In developing
the methodology for risk
standardization for purposes of clause
(i)(I), the Secretary shall consult
with the Medicaid and CHIP Payment and
Access Commission, the Medicare Payment
Advisory Commission, and the National
Association of Medicaid Directors.
``(II) Method for risk
standardization.--In carrying out
clause (i)(I), the Secretary may apply
the hierarchal condition category
methodology under section
1853(a)(1)(C). If the Secretary uses
such methodology, the Secretary shall
adjust the application of such
methodology to take into account the
differences in services provided under
this title compared to title XVIII,
such as the coverage of long term care,
pregnancy, and pediatric services.
``(III) Method for geographic
standardization.--The Secretary shall
apply the standardization under clause
(i)(II) in a manner similar to that
applied under section
1853(c)(4)(A)(iii).
``(iii) Application on a national, budget
neutral basis.--The standardization under
clause (i) shall be designed and implemented on
a uniform national basis and shall be budget
neutral so as to not result in any aggregate
change in payments under subsection (a).
``(iv) Response to new risk.--Subject to
clause (iii), the Secretary may adjust the
standardization under clause (i) to respond
promptly to new instances of communicable
diseases and other public health hazards.
``(v) Reference to application of risk
adjustment.--For rules related to the
application of risk adjustment to amounts under
subsection (a)(1)(A), see subsection (e).
``(D) Adjustment for temporary fmap increases.--In
computing each base per beneficiary, per category
amounts under subparagraph (A)(i) the Secretary shall
disregard portions of payments that are attributable to
a temporary increase in the Federal matching rates,
including those attributable to the following:
``(i) Public law 111-148 disaster fmap.--
Section 1905(aa).
``(ii) ARRA.--Section 5001 of the American
Recovery and Reinvestment Act of 2009 (42
U.S.C. 1396d note).
``(iii) Extraordinary employer pension
contribution.--Section 614 of the Children's
Health Insurance Program Reauthorization Act of
2009 (42 U.S.C. 1396d note).
``(3) Allocation of nonmedical assistance payments.--The
Secretary shall establish rules for the allocation of payments
under this title (other than those payments described in
paragraph (1) or (5) of section 1903(a) and including such
payments attributable to section 1923)--
``(A) among different categories of beneficiaries;
and
``(B) between payments included under subsection
(a)(1) and payments described in subsection (a)(4).
``(4) Transition to a corridor around the national
average.--
``(A) Determination of national average base per
beneficiary, per category amount.--Subject to
subparagraph (C), the Secretary shall determine a
national average base per beneficiary, per category
amount equal to the average of the base per
beneficiary, per category amounts for each of the 50
States and the District of Columbia determined under
paragraph (2), weighted by the average number of
beneficiaries in each such category and State as
determined by the Secretary consistent with subsection
(d) for the base fiscal year.
``(B) Transition adjustment.--
``(i) High per beneficiary states.--In the
case of a high per beneficiary State (as
defined in clause (iii)(I)) for a category, the
beneficiary-based quarterly amount for such
State and category for a quarter in a reform
year (beginning with the fourth reform year and
ending with the tenth reform year) is equal to
the sum of--
``(I) the product of the State-
specific factor for such reform year
(as defined in clause (iv)) and the
beneficiary-based quarterly amount that
would otherwise be determined under
paragraph (1) for such State and
category if the State were a State
described in clause (ii) of paragraph
(1)(C), instead of a State described in
clause (i) of such paragraph; and
``(II) the product of 1 minus the
State-specific factor for such reform
year and the beneficiary-based
quarterly amount that would otherwise
be determined under paragraph (1) for a
State and category if the base per
beneficiary, per category amount
determined under paragraph (2) for the
State and category were equal to 110
percent of the national average base
per beneficiary, per category amount
determined under subparagraph (A) for
such category.
``(ii) Low per beneficiary states.--In the
case of a low per beneficiary State (as defined
in clause (iii)(II)) for a category, the
beneficiary-based quarterly amount for such
State and category for a quarter in a reform
year (beginning with the fourth reform year and
ending with the tenth reform year) is equal to
the sum of--
``(I) the product of the State-
specific factor for such reform year
and the beneficiary-based quarterly
amount that would otherwise be
determined under paragraph (1) for such
State and category if the State were a
State described in clause (ii) of
paragraph (1)(C), instead of a State
described in clause (i) of such
paragraph; and
``(II) the product of 1 minus the
State-specific factor for such reform
year and the beneficiary-based
quarterly amount that would otherwise
be determined under paragraph (1) for a
State and category if the base per
beneficiary, per category amount
determined under paragraph (2) for the
State and category were equal to 90
percent of the national average base
per beneficiary, per category amount
determined under subparagraph (A) for
such category.
``(iii) High and low per beneficiary states
defined.--In this subparagraph:
``(I) High per beneficiary state.--
The term `high per beneficiary State'
means, with respect to a category, a
State for which the base per
beneficiary, per category amount
determined under paragraph (2) for such
category is greater than 110 percent of
the national average base per
beneficiary, per category amount
determined under subparagraph (A) for
such category.
``(II) Low per beneficiary state.--
The term `low per beneficiary State'
means, with respect to a category, a
State for which the base per
beneficiary, per category amount
determined under paragraph (2) for such
category is less than 90 percent of the
national average base per beneficiary,
per category amount determined under
subparagraph (A) for such category.
``(iv) State-specific factor.--In this
subparagraph, the term `State-specific factor'
means--
``(I) for the fourth reform year,
\7/8\; and
``(II) for a subsequent reform
year, the State-specific factor under
this clause for the previous reform
year minus \1/8.\
``(C) No additional expenditures.--
``(i) Determination of increase in federal
expenditures.--For each category for each
reform year (beginning with the fourth reform
year and ending with the tenth reform year),
the Secretary shall determine whether the
application of this paragraph--
``(I) to the category for the
reform year will result in an aggregate
increase in the aggregate Federal
expenditures under subsection (a); and
``(II) to all the categories for
the reform year will result in a net
aggregate increase in the aggregate
Federal expenditures under subsection
(a).
``(ii) Adjustment.--If the Secretary
determines under clause (i)(II) that the
application of this paragraph to all the
categories for a reform year will result in a
net aggregate increase in the aggregate Federal
expenditures under subsection (a), the
Secretary shall reduce the national average
base per beneficiary, per category amount
computed under subparagraph (A) for each of the
categories determined under clause (i)(I) for
which there will be an aggregate increase in
the aggregate Federal expenditures under
subsection (a) by such uniform percentage as
will ensure that there is no net aggregate
Federal expenditure increase described in
clause (i)(II) for the reform year.
``(5) Reports on per beneficiary rates; appeals.--
``(A) Report to states.--Not later than 8 months
after the date of the enactment of this section, the
Secretary shall submit to each State the Secretary's
initial determination of--
``(i) the base per beneficiary, per
category amounts under paragraph (2) for such
State; and
``(ii) the national average base per
beneficiary, per category amounts under
paragraph (4)(A).
``(B) Opportunity to appeal.--Not later than 3
months after the date a State receives notice of the
Secretary's initial determination of such base per
beneficiary, per category amounts for such State under
subparagraph (A)(i), the State may file with the
Secretary, in a form and manner specified by the
Secretary, an appeal of such determination.
``(C) Determination on appeal.--Not later than 3
months after receiving such an appeal, the Secretary
shall make a final determination on such amounts for
such State. If no such appeal is received for a State,
the Secretary's initial determination under
subparagraph (A)(i) shall become final.
``(6) Base fiscal year defined.--In this section, the term
`base fiscal year' means the latest fiscal year, ending before
the date of the enactment of this section, for which the
Secretary determines that adequate data are available to make
the computations required under this subsection.
``(d) Not Counting Individuals To Account for Excluded Payments.--
Under rules specified by the Secretary, individuals shall not be
counted as Medicaid beneficiaries for purposes of subsection (b)(1)(B)
and subsection (c)(2)(A) in proportion to the extent that such
individuals are receiving medical assistance for which payments
described under subsection (a)(4)(A) are made.
``(e) Risk Adjustment.--
``(1) In general.--The amount under subsection (a)(1)(A)
shall be adjusted under this subsection in an appropriate
manner, specified by the Secretary and consistent with
paragraph (2), to take into account--
``(A) the factors described in subsection
(c)(2)(C)(i)(I) within a category of beneficiaries; and
``(B) variations in costs on a county-by-county
basis for medical assistance and administrative
expenses.
``(2) Method of adjustment.--
``(A) In general.--The adjustments under paragraph
(1) shall be made in a manner similar to the manner in
which similar adjustments are made under subsection
(c)(2)(C) and consistent with the requirements of
clause (iii) of such subsection and subparagraph (B).
``(B) Biannual update of risk adjustment
methodology.--In applying clause (i)(I) of subsection
(c)(2)(C) for purposes of subparagraph (A), the
Secretary shall, in consultation with the entities
described in clause (ii)(I) of such subsection, update
the risk adjustment methodology applied as appropriate
not less often than every 2 years.
``(f) Chronic Care Quality Bonus Payments.--
``(1) Determination of bonus payments.--If the Secretary
determines that, based on the reports under paragraph (5), with
respect to categories of chronic disease for which chronic care
performance targets had been established under paragraph (3)
for each category of Medicaid beneficiaries specified under
subsection (b)(2) such targets have been met by a State for a
reform year, the Secretary shall make an additional payment to
such State in the amount specified in paragraph (6) for each
quarter in the succeeding reform year. Such payments shall be
made in a manner specified by the Secretary and may only be
used consistent with subsection (a)(3).
``(2) Identification of categories of chronic disease.--The
Secretary shall determine the categories of chronic disease for
which bonus payments may be available under this subsection for
each category of Medicaid beneficiaries.
``(3) Adoption of quality measurement system and
identification of performance targets.--
``(A) System and data.--With respect to the
categories of chronic disease under paragraph (2), the
Secretary shall adopt a quality measurement system that
uses data described in paragraph (4) and is similar to
the Five-Star Quality Rating System used to indicate
the performance of Medicare Advantage plans under part
C of title XVIII.
``(B) Targets.--Using such system and data, the
Secretary shall establish for each reform year the
chronic care performance targets for purposes of the
payments under paragraph (1). Such performance targets
shall be established in consultation with States,
associations representing individuals with chronic
illnesses, entities providing treatment to such
individuals for such chronic illnesses, and other
stakeholders, including the National Association of
Medicaid Directors and the National Governors
Association.
``(4) Data to be used.--The data to be used under paragraph
(3) shall include--
``(A) data collected through methods such as--
``(i) the `Healthcare Effectiveness Data
and Information Set' (also known as `HEDIS')
(or an appropriate successor performance
measurement tool);
``(ii) the `Consumer Assessment of
Healthcare Providers and Systems' (also known
as `CAHPS') (or an appropriate successor
performance measurement tool); and
``(iii) the `Health Outcomes Survey' (also
known as `HOS') (or an appropriate successor
performance measurement tool); and
``(B) other data collected by the State.
``(5) Reports.--
``(A) In general.--Each State shall collect,
analyze, and report to the Secretary, at a frequency
and in a manner to be established by the Secretary,
data described in paragraph (4) that permit the
Secretary to monitor the State's performance relative
to the chronic care performance targets established
under paragraph (3).
``(B) Review and verification.--The Secretary may
review the data collected by the State under
subparagraph (A) to verify the State's analysis of such
data with respect to the performance targets under
paragraph (3).
``(6) Amount of bonus payments.--
``(A) In general.--Subject to subparagraphs (B) and
(C), with respect to each category of Medicaid
beneficiaries, in the case of a State that the
Secretary determines, based on the chronic care
performance targets set under paragraph (3) for a
reform year for such category, performs--
``(i) in the top five States in such
category, subject to subparagraph (C)(ii), the
amount of the bonus for each quarter in the
succeeding reform year shall be 10 percent of
the payment amount otherwise paid to the State
under subsection (a) for individuals enrolled
under the plan within such category;
``(ii) in the next five States in such
category, subject to subparagraph (C)(ii), the
amount of the bonus for each such quarter shall
be 5 percent of the payment amount otherwise
paid to the State under subsection (a) for
individuals enrolled under the plan within such
category;
``(iii) in the next five States in such
category, subject to clauses (i) and (iii) of
subparagraph (C), the amount of the bonus for
each such quarter shall be 3 percent of the
payment amount otherwise paid to the State
under subsection (a) for individuals enrolled
under the plan within such category;
``(iv) in the next five States in such
category, subject to clauses (i) and (iii) of
subparagraph (C), the amount of the bonus for
each such quarter shall be 2 percent of the
payment amount otherwise paid to the State
under subsection (a) for individuals enrolled
under the plan within such category; and
``(v) in the next five States in such
category, subject to clauses (i) and (iii) of
subparagraph (C), the amount of the bonus for
each such quarter shall be 1 percent of the
payment amount otherwise paid to the State
under subsection (a) for individuals enrolled
under the plan within such category.
``(B) Aggregate annual limit for each category of
medicaid beneficiaries.--
``(i) In general.--In no case may the
aggregate amount of bonuses under this
subsection for quarters in a reform year for a
category of Medicaid beneficiaries exceed the
limit specified in clause (ii) for the reform
year.
``(ii) Limit.--The limit specified in this
clause--
``(I) for the second reform year is
equal to $250,000,000; or
``(II) for a subsequent reform year
is equal to the limit specified in this
clause for the previous reform year
increased by the per beneficiary
percentage increase determined under
paragraph (1)(E) of subsection (c).
``(C) Limitation and proration of bonuses based on
application of aggregate limit.--
``(i) No bonus for third or subsequent
tiers unless aggregate limit not reached on
first two tiers.--No bonus shall be payable
under clause (iii), (iv), or (v) of
subparagraph (A) for a category of Medicaid
beneficiaries for a quarter in a reform year
unless the aggregate amount of bonuses under
clauses (i) and (ii) of such subparagraph for
such category and reform year is less than the
limit specified in subparagraph (B)(ii) for the
reform year.
``(ii) Proration for first two tiers.--If
the aggregate amount of bonuses under clauses
(i) and (ii) of subparagraph (A) for a category
of Medicaid beneficiaries for quarters in a
reform year exceeds the limit specified in
subparagraph (B)(ii) for the reform year, the
amount of each such bonus shall be prorated in
a manner so the aggregate amount of such
bonuses is equal to such limit.
``(iii) Proration for next three tiers.--If
the aggregate amount of bonuses under clauses
(i) and (ii) of subparagraph (A) for a category
of Medicaid beneficiaries for quarters in a
reform year is less than the limit specified in
subparagraph (B)(ii) for the reform year, but
the aggregate amount of bonuses under clauses
(i) through (v) of subparagraph (A) for the
category and such quarters in the reform year
exceeds the limit specified in subparagraph
(B)(ii) for the reform year, the amount of each
bonus in clauses (iii), (iv), and (v) of
subparagraph (A) shall be prorated in a manner
so the aggregate amount of all the bonuses
under subparagraph (A) is equal to such limit.
``(g) State Option for Receiving Medicare Payments for Full-Benefit
Dual Eligible Individuals.--
``(1) In general.--Under this subsection a State may elect
for quarters beginning on or after the implementation date in a
reform year to receive payment from the Secretary under
paragraph (3). As a condition of receiving such payment, the
State shall agree to provide to full-benefit dual eligible
individuals eligible for medical assistance under the State
plan--
``(A) the medical assistance to which such eligible
individuals would otherwise be entitled under this
title; and
``(B) any items and services which such eligible
individuals would otherwise receive under title XVIII.
``(2) Provider payment requirement.--
``(A) In general.--A State electing the option
under this subsection shall provide payment to health
care providers for the items and services described
under paragraph (1)(B) at a rate that is not less than
the rate at which payments would be made to such
providers for such items and services under title
XVIII.
``(B) Flexibility in payment methods.--Nothing in
subparagraph (A) shall be construed as preventing a
State from using alternative payment methodologies
(such as bundled payments or the use of accountable
care organizations (as such term is used in section
1899)) for purposes of making payments to health care
providers for items and services provided to dual
eligible individuals in the State under the option
under this subsection.
``(3) Payments to states in lieu of medicare payments.--
With respect to a full-benefit dual eligible individual, in the
case of a State that elects the option under paragraph (1) for
quarters in a reform year--
``(A) the Secretary shall not make any payment
under title XVIII for items and services furnished to
such individual for such quarters; and
``(B) the Secretary shall pay to the State, in
addition to the amounts paid to such State under
subsection (a), the amount that the Secretary would,
but for this subsection, otherwise pay under title
XVIII for items and services furnished to such an
individual in such State for such quarters.
``(4) Full-benefit dual eligible individual defined.--In
this subsection, the term `full-benefit dual eligible
individual' means an individual who meets the requirements of
section 1935(c)(6)(A)(ii).
``(h) Audits.--The Secretary shall conduct such audits on the
number and classification of Medicaid beneficiaries under such
subsections and expenditures under this section as may be necessary to
ensure appropriate payments under this section.
``(i) Treatment of Waivers.--
``(1) No impact on current waivers.--In the case of a
waiver of requirements of this title pursuant to section 1115
or other law that is in effect as of the date of the enactment
of this section, nothing in this section shall be construed to
affect such waiver for the period of the waiver as approved as
of such date.
``(2) Application of budget neutrality to subsequent
waivers and renewals taking section into account.--In the case
of a waiver of requirements of this title pursuant to section
1115 or other law that is approved or renewed after the date of
the enactment of this section, to the extent that such approval
or renewal is conditioned upon a demonstration of budget
neutrality, budget neutrality shall be determined taking into
account the application of this section.
``(j) Report to Congress.--Not later than January 1 of the second
reform year, the Secretary shall submit to Congress a report on the
implementation of this section.
``(k) Definitions.--In this section:
``(1) Implementation date.--The term `implementation date'
means--
``(A) July 1, 2022, if this section is enacted on
or before July 1, 2021; or
``(B) July 1, 2022, if this section is enacted
after July 1, 2021.
``(2) Reform years.--
``(A) The term `reform year' means a fiscal year
beginning with the first reform year.
``(B) The term `first reform year' means the fiscal
year in which the implementation date occurs.
``(C) The terms `second', `third', and successive
similar terms mean, with respect to a reform year, the
second, third, or successive reform year, respectively,
succeeding the first reform year.''.
(b) Conforming Amendments.--
(1) Continued application of clawback provisions.--
(A) Continued application.--Subsections (a) and
(c)(1)(C) of section 1935 of such Act (42 U.S.C. 1396u-
5) are each amended by inserting ``or 1903A(a)'' after
``1903(a)''.
(B) Technical amendment.--Section 1935(d)(1) of the
Social Security Act (42 U.S.C. 1396u-5(d)(1)) is
amended by inserting ``except as provided in section
1903A(g)'' after ``any other provision of this title''.
(2) Payment rules under section 1903.--
(A) Section 1903(a) of the Social Security Act (42
U.S.C. 1396b(a)) is amended, in the matter before
paragraph (1), by inserting ``and section 1903A'' after
``except as otherwise provided in this section''.
(B) Section 1903(d) of such Act (42 U.S.C.
1396b(d)) is amended--
(i) in paragraph (1), by inserting ``and
under section 1903A'' after ``subsections (a)
and (b)'';
(ii) in paragraph (2)--
(I) in subparagraph (A), by
inserting ``or section 1903A'' after
``was made under this section''; and
(II) in subparagraph (B), by
inserting ``or section 1903A'' after
``under subsection (a)'';
(iii) in paragraph (4)--
(I) by striking ``under this
subsection'' and inserting ``, with
respect to this section or section
1903A, under this subsection''; and
(II) by striking ``under this
section'' and inserting ``under the
respective section''; and
(iv) in paragraph (5), by inserting ``or
section 1903A'' after ``overpayment under this
section''.
(3) Conforming waiver authority.--Section 1115(a)(2)(A) of
the Social Security Act (42 U.S.C. 1315(a)(2)(A)) is amended by
striking ``or 1903'' and inserting ``1903, or 1903A''.
(4) Report on additional conforming amendments needed.--Not
later than 6 months after the date of the enactment of this
Act, the Secretary of Health and Human Services shall submit to
Congress a report that includes a description of any additional
technical and conforming amendments to law that are required to
properly carry out this Act.
TITLE V--PRICE TRANSPARENCY
SEC. 501. PROMOTING TRANSPARENT HOSPITAL PRICES FOR CONSUMERS.
The provisions of the rule entitled ``Price Transparency
Requirements for Hospitals to Make Standard Charges Public'' published
by the Department of Health and Human Services on November 27, 2019 (85
Fed. Reg. 65524) shall have the force and effect of law.
<all>
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118HR313 | Small Business Emergency Savings Accounts Act of 2023 | [
[
"C001115",
"Rep. Cloud, Michael [R-TX-27]",
"sponsor"
]
] | <p><b>Small Business Emergency Savings Accounts Act of 2023</b></p> <p>This bill allows a new tax deduction from gross income for amounts paid into a small business emergency savings account. Such savings accounts are established exclusively to pay the qualified disaster and public health emergency expenses of the account beneficiary.</p> <p>The bill defines <i>qualified disaster and public health emergency expenses</i> as disaster loss replacement expenses, disaster recovery operations expenses, and public health emergency expenses.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 313 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 313
To amend the Internal Revenue Code of 1986 to provide emergency savings
accounts for small businesses.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 12, 2023
Mr. Cloud introduced the following bill; which was referred to the
Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to provide emergency savings
accounts for small businesses.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Small Business Emergency Savings
Accounts Act of 2023''.
SEC. 2. DEDUCTION FOR CONTRIBUTIONS TO SMALL BUSINESS EMERGENCY SAVINGS
ACCOUNTS.
(a) In General.--Part VI of subchapter B of chapter 1 of the
Internal Revenue Code of 1986 (relating to itemized deductions for
individuals and corporations) is amended by adding at the end the
following new section:
``SEC. 200. SMALL BUSINESS EMERGENCY SAVINGS ACCOUNTS.
``(a) Deduction Allowed.--In the case of a eligible business, there
shall be allowed as a deduction for the taxable year an amount equal to
the aggregate amount paid during such taxable year by such business to
a small business emergency savings account of such business.
``(b) Limitation.--The amount allowed as a deduction under
subsection (a) to any business for any taxable year shall not exceed
the lesser of--
``(1) 25 percent of the wages (as defined in section
3121(a)) paid by the eligible business during such taxable
year, or
``(2) the greater of--
``(A) zero, or
``(B) the maximum amount which when added to the
balance of such account (as determined at the end of
such taxable year but without regard to contributions
made during such taxable year) would not result in such
balance (as so determined) to exceed 150 percent of
wages (as defined in section 3121(a)) paid by the
eligible business during such taxable year.
``(c) Eligible Business.--For purposes of this section, the term
`eligible business' means any person if--
``(1) such person carries on any trade or business in the
United States (other than the trade or business of being an
employee), and
``(2) the average number of full-time employees (as
determined for purposes of determining whether an employer is
an applicable large employer for purposes of section
4980H(c)(2)) employed by such employer during the taxable year
does not exceed 500.
``(d) Small Business Emergency Savings Account.--For purposes of
this section--
``(1) In general.--The term `small business emergency
savings account' means a trust created or organized in the
United States as a small business emergency savings account
exclusively for the purpose of paying the qualified disaster
and public health emergency expenses of the account
beneficiary, but only if the written governing instrument
creating the trust meets the following requirements:
``(A) Except in the case of a rollover contribution
described in subsection (f)(5), no contribution will be
accepted unless it is in cash.
``(B) The trustee is a bank (as defined in section
408(n)), an insurance company (as defined in section
816), or another person who demonstrates to the
satisfaction of the Secretary that the manner in which
such person will administer the trust will be
consistent with the requirements of this section.
``(C) No part of the trust assets will be invested
in life insurance contracts.
``(D) The assets of the trust will not be
commingled with other property except in a common trust
fund or common investment fund.
``(E) The interest of account beneficiary in the
balance in the account is nonforfeitable.
``(2) Qualified disaster and public health emergency
expenses.--The term `qualified disaster and public health
emergency expenses' means--
``(A) disaster loss replacement expenses,
``(B) disaster recovery operations expenses, and
``(C) public health emergency expenses.
``(3) Disaster loss replacement expenses.--The term
`disaster loss replacement expenses' means any expense paid or
incurred in the ordinary course of a trade or business of the
eligible business to replace or repair casualty losses totaling
$3,000 or more resulting from a federally declared disaster.
``(4) Disaster recovery operations expenses.--The term
`disaster recovery operations expenses' means the following
amounts if paid or incurred in the ordinary course of a trade
or business of the eligible business while the declaration with
respect to a federally declared disaster is in effect:
``(A) Wages (as defined in section 3121(a)) and
taxes imposed under section 3111.
``(B) Unemployment insurance contributions.
``(C) Health care costs.
``(D) Rent, lease, or mortgage costs, including
property taxes.
``(E) Utilities.
``(5) Public health emergency expenses.--The term `public
health emergency expenses' means amounts described in
subparagraphs (A) through (E) of paragraph (4) if paid or
incurred in the ordinary course of a trade or business of the
eligible business while a public health emergency declaration
is in effect.
``(6) Federally declared disaster.--The term `federally
declared disaster' has the meaning given such term by section
165(i)(5).
``(7) Public health emergency declaration.--The term
`public health emergency declaration' means any declaration of
a public health emergency by the Secretary of Health and Human
Services under section 319 of the Public Health Service Act (42
U.S.C. 247d).
``(8) Account beneficiary.--The term `account beneficiary'
means the eligible business on whose behalf the small business
emergency savings account was established.
``(e) Treatment of Account.--
``(1) In general.--A small business emergency savings
account is exempt from taxation under this subtitle unless such
account has ceased to be a small business emergency savings
account. Notwithstanding the preceding sentence, any such
account is subject to the taxes imposed by section 511
(relating to imposition of tax on unrelated business income of
charitable, etc. organizations).
``(2) Account terminations.--Rules similar to the rules of
paragraphs (2) and (4) of section 408(e) shall apply to small
business emergency savings accounts, and any amount treated as
distributed under such rules shall be treated as not used to
pay qualified disaster and public health emergency expenses.
``(f) Tax Treatment of Distributions.--
``(1) Amounts used for qualified disaster and public health
emergency expenses.--Any amount paid or distributed out of a
small business emergency savings account which is used
exclusively to pay qualified disaster and public health
emergency expenses of any account beneficiary shall not be
includible in gross income.
``(2) Inclusion of amounts not used for qualified disaster
and public health emergency expenses.--Any amount paid or
distributed out of a small business emergency savings account
which is not used exclusively to pay the qualified disaster and
public health emergency expenses of the account beneficiary
shall be included in the gross income of such beneficiary.
``(3) Excess contributions returned before due date of
return.--
``(A) In general.--If any excess contribution is
contributed for a taxable year to any small business
emergency savings account of an eligible business,
paragraph (2) shall not apply to distributions from the
small business emergency savings accounts of such
eligible business (to the extent such distributions do
not exceed the aggregate excess contributions to all
such accounts of such eligible business for such year)
if--
``(i) such distribution is received by the
eligible business on or before the last day
prescribed by law (including extensions of
time) for filing such eligible business's
return for such taxable year, and
``(ii) such distribution is accompanied by
the amount of net income attributable to such
excess contribution.
Any net income described in clause (ii) shall be
included in the gross income of the eligible business
for the taxable year in which it is received.
``(B) Excess contribution.--For purposes of
subparagraph (A), the term `excess contribution' means
any contribution (other than a rollover contribution
described in paragraph (5)) which is not deductible
under this section.
``(4) Additional tax on distributions not used for
qualified disaster and public health emergency expenses.--
``(A) In general.--The tax imposed by this chapter
on the account beneficiary for any taxable year in
which there is a payment or distribution from a small
business emergency savings account of such beneficiary
which is includible in gross income under paragraph (2)
shall be increased by 20 percent of the amount which is
so includible.
``(B) Exception for disability or death.--If the
eligible business is an individual, subparagraph (A)
shall not apply if the payment or distribution is made
after the account beneficiary becomes disabled within
the meaning of section 72(m)(7) or dies.
``(5) Rollover contribution.--An amount is described in
this paragraph as a rollover contribution if it meets the
requirements of subparagraphs (A) and (B).
``(A) In general.--Paragraph (2) shall not apply to
any amount paid or distributed from a small business
emergency savings account to the account beneficiary to
the extent the amount received is paid into a small
business emergency savings account for the benefit of
such beneficiary not later than the 60th day after the
day on which the beneficiary receives the payment or
distribution.
``(B) Limitation.--This paragraph shall not apply
to any amount described in subparagraph (A) received by
an eligible business from a small business emergency
savings account if, at any time during the 1-year
period ending on the day of such receipt, such eligible
business received any other amount described in
subparagraph (A) from a small business emergency
savings account which was not includible in the small
business's gross income because of the application of
this paragraph.
``(g) Cost-of-Living Adjustment.--
``(1) In general.--In the case of any taxable year
beginning in a calendar year after 2023, the $3,000 amount in
subsection (d)(3) shall be increased by an amount equal to--
``(A) such dollar amount, multiplied by
``(B) the cost-of-living adjustment determined
under section 1(f)(3) for the calendar year in which
such taxable year begins determined by substituting
`calendar year 2022' for `calendar year 2016' in
subparagraph (A)(ii) thereof.
``(2) Rounding.--If any increase under paragraph (1) is not
a multiple of $50, such increase shall be rounded to the
nearest multiple of $50.
``(h) Special Rules.--
``(1) Denial of deduction to dependents.--No deduction
shall be allowed under this section to any individual with
respect to whom a deduction under section 151 is allowable to
another taxpayer for a taxable year beginning in the calendar
year in which such individual's taxable year begins.
``(2) Taxable year must be full taxable year.--Except in
the case of a taxable year closed by reason of the death of an
individual who is an eligible business, no deduction shall be
allowed under this section in the case of a taxable year
covering a period of less than 12 months.
``(3) Certain rules to apply.--Rules similar to the
following rules shall apply for purposes of this section:
``(A) Section 219(d)(2) (relating to no deduction
for rollovers).
``(B) Section 219(f)(3) (relating to time when
contributions deemed made).
``(C) Section 219(f)(5) (relating to employer
payments).
``(D) Section 408(g) (relating to community
property laws).
``(E) Section 408(h) (relating to custodial
accounts).
``(F) Section 223(f)(7) (relating to transfer of
account incident to divorce).
``(G) Section 223(f)(8) (relating to treatment
after death of account beneficiary).
``(4) Denial of double benefit.--No deduction shall be
allowed under this chapter for any qualified disaster and
public health emergency expenses with respect to which any
payment or distribution is excluded from gross income under
subsection (f)(1).
``(i) Reports.--The Secretary may require the trustee of a small
business emergency savings account to make such reports regarding such
account to the Secretary and to the account beneficiary with respect to
contributions, distributions, the return of excess contributions, and
such other matters as the Secretary determines appropriate.''.
(b) Deduction Allowed Whether or Not Individual Itemizes Other
Deductions.--Section 62(a) of such Code is amended by inserting after
paragraph (21) the following new paragraph:
``(22) Small business emergency savings accounts.--In the
case of an individual who is an eligible business, the
deduction allowed by section 200.''.
(c) Tax on Excess Contributions.--Section 4973 of such Code
(relating to tax on excess contributions to certain tax-favored
accounts and annuities) is amended--
(1) by striking ``or'' at the end of subsection (a)(5), by
inserting ``or'' at the end of subsection (a)(6), and by
inserting after subsection (a)(6) the following new paragraph:
``(7) a small business emergency savings account (within
the meaning of section 220(d)),''; and
(2) by adding at the end the following new subsection:
``(i) Excess Contributions to Small Business Emergency Savings
Accounts.--For purposes of this section, in the case of small business
emergency savings accounts (within the meaning of section 220(d)), the
term `excess contributions' means the sum of--
``(1) the aggregate amount contributed for the taxable year
to the accounts (other than a rollover contribution described
in section 220(f)(5)) which is not allowable as a deduction
under section 220 for such year, and
``(2) the amount determined under this subsection for the
preceding taxable year, reduced by the sum of--
``(A) the distributions out of the accounts which
were included in gross income under section 220(f)(2),
and
``(B) the excess (if any) of--
``(i) the maximum amount allowable as a
deduction under section 220(b) for the taxable
year, over
``(ii) the amount contributed to the
accounts for the taxable year.
For purposes of this subsection, any contribution which
is distributed out of the small business emergency
savings account in a distribution to which section
220(f)(3) applies shall be treated as an amount not
contributed.''.
(d) Failure To Provide Reports on Small Business Emergency Savings
Accounts.--Section 6693(a)(2) of such Code is amended by redesignating
subparagraphs (D), (E), and (F) as subparagraphs (E), (F), and (G),
respectively, and by inserting after subparagraph (C) the following new
subparagraph:
``(D) section 220(i) (relating to small business
emergency savings accounts),''.
(e) Clerical Amendment.--The table of sections for part VI of
subchapter B of chapter 1 of such Code is amended by adding at the end
the following:
``Sec. 200. Small business emergency savings accounts.''.
(f) Effective Date.--The amendments made by this section shall
apply to taxable years beginning after December 31, 2022.
<all>
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118HR3130 | Protecting Election Administration from Interference Act of 2023 | [
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[
... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3130 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3130
To enhance protections for election records.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Allred (for himself, Mr. Sarbanes, Mr. Veasey, Ms. Escobar, and Ms.
Slotkin) introduced the following bill; which was referred to the
Committee on the Judiciary, and in addition to the Committee on House
Administration, for a period to be subsequently determined by the
Speaker, in each case for consideration of such provisions as fall
within the jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To enhance protections for election records.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Protecting Election Administration
from Interference Act of 2023''.
SEC. 2. ENHANCEMENT OF PROTECTIONS FOR ELECTION RECORDS, PAPERS, AND
EQUIPMENT.
(a) Preservation of Records, Paper, and Equipment.--Section 301 of
the Civil Rights Act of 1960 (52 U.S.C. 20701) is amended--
(1) by striking ``Every officer'' and inserting the
following:
``(a) In General.--Every officer'';
(2) by striking ``records and papers'' and inserting
``records (including electronic records), papers, and election
equipment'' each place the term appears;
(3) by striking ``record or paper'' and inserting ``record
(including electronic record), paper, or election equipment'';
(4) by inserting ``(but only under the direct
administrative supervision of an election officer).
Notwithstanding any other provision of this section, the paper
record of a voter's cast ballot shall remain the official
record of the cast ballot for purposes of this title'' after
``upon such custodian'';
(5) by inserting ``, or acts in reckless disregard of,''
after ``fails to comply with''; and
(6) by inserting after subsection (a) the following:
``(b) Election Equipment.--The requirement in subsection (a) to
preserve election equipment shall not be construed to prevent the reuse
of such equipment in any election that takes place within twenty-two
months of a Federal election described in subsection (a), provided that
all electronic records, files, and data from such equipment related to
such Federal election are retained and preserved.
``(c) Guidance.--Not later than 1 year after the date of the
enactment of this subsection, the Director of the Cybersecurity and
Infrastructure Security Agency of the Department of Homeland Security,
in consultation with the Election Assistance Commission and the
Attorney General, shall issue guidance regarding compliance with
subsections (a) and (b), including minimum standards and best practices
for retaining and preserving records (including electronic records),
papers, and election equipment in compliance with subsections (a) and
(b). Such guidance shall also include protocols for enabling the
observation of the preservation, security, and transfer of records
(including electronic records), papers, and election equipment
described in subsection (a) by the Attorney General and by a
representative of each party, as defined by the Attorney General.''.
(b) Penalty.--Section 302 of the Civil Rights Act of 1960 (52
U.S.C. 20702) is amended--
(1) by inserting ``, or whose reckless disregard of section
301 results in the theft, destruction, concealment, mutilation,
or alteration of,'' after ``or alters''; and
(2) by striking ``record or paper'' and inserting ``record
(including electronic record), paper, or election equipment''.
(c) Inspection, Reproduction, and Copying.--Section 303 of the
Civil Rights Act of 1960 (52 U.S.C. 20703) is amended by striking
``record or paper'' and inserting ``record (including electronic
record), paper, or election equipment'' each place the term appears.
(d) Nondisclosure.--Section 304 of the Civil Rights Act of 1960 (52
U.S.C. 20704) is amended by striking ``record or paper'' and inserting
``record (including electronic record), paper, or election equipment''.
(e) Jurisdiction To Compel Production.--Section 305 of the Civil
Rights Act of 1960 (52 U.S.C. 20705) is amended by striking ``record or
paper'' and inserting ``record (including electronic record), paper, or
election equipment'' each place the term appears.
SEC. 3. JUDICIAL REVIEW FOR ELECTION RECORDS.
Title III of the Civil Rights Act of 1960 (52 U.S.C. 20701 et
seq.), is amended--
(1) by redesignating section 306 as section 307; and
(2) by inserting after section 305 the following:
``SEC. 306. JUDICIAL REVIEW TO ENSURE COMPLIANCE.
``(a) Right of Action.--The Attorney General, a representative of
the Attorney General, or a candidate in a Federal election described in
section 301 may bring an action in the district court of the United
States for the judicial district in which a record (including
electronic record), paper, or election equipment is located, or in the
United States District Court for the District of Columbia, to compel
compliance with the requirements of section 301.
``(b) Duty To Expedite.--It shall be the duty of the court to
advance on the docket, and to expedite to the greatest possible extent
the disposition of, the action and appeal under this section.''.
SEC. 4. CRIMINAL PENALTIES FOR INTIMIDATION OF TABULATION, CANVASS, OR
CERTIFICATION EFFORTS.
Section 12(1) of the National Voter Registration Act of 1993 (52
U.S.C. 20511(1)) is amended--
(1) in subparagraph (B), by striking ``or'' at the end; and
(2) by adding at the end the following:
``(D) processing or scanning ballots, or
tabulating, canvassing, or certifying voting results;
or''.
<all>
</pre></body></html>
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118HR3131 | To prohibit the use of funds to seek membership in the World Health Organization or to provide assessed or voluntary contributions to the World Health Organization. | [
[
"A000375",
"Rep. Arrington, Jodey C. [R-TX-19]",
"sponsor"
],
[
"E000298",
"Rep. Estes, Ron [R-KS-4]",
"cosponsor"
],
[
"P000048",
"Rep. Pfluger, August [R-TX-11]",
"cosponsor"
],
[
"M000871",
"Rep. Mann, Tracey [R-KS-1]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3131 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3131
To prohibit the use of funds to seek membership in the World Health
Organization or to provide assessed or voluntary contributions to the
World Health Organization.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Arrington (for himself, Mr. Estes, and Mr. Pfluger) introduced the
following bill; which was referred to the Committee on Foreign Affairs
_______________________________________________________________________
A BILL
To prohibit the use of funds to seek membership in the World Health
Organization or to provide assessed or voluntary contributions to the
World Health Organization.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. PROHIBITION ON USE OF FUNDS TO SEEK MEMBERSHIP IN THE WORLD
HEALTH ORGANIZATION OR TO PROVIDE ASSESSED OR VOLUNTARY
CONTRIBUTIONS TO THE WORLD HEALTH ORGANIZATION.
(a) In General.--Notwithstanding any other provision of law, no
funds available to any Federal department or agency may be used to seek
membership by the United States in the World Health Organization or to
provide assessed or voluntary contributions to the World Health
Organization until such time as the Secretary of State certifies to
Congress that the World Health Organization meets the conditions
described in subsection (b).
(b) Conditions Described.--The conditions described in this
subsection are the following:
(1) The World Health Organization has adopted meaningful
reforms to ensure that humanitarian assistance is not
politicized and is to be provided to those with the most need.
(2) The World Health Organization is not under the control
or significant malign influence of the Chinese Communist Party.
(3) The World Health Organization is not involved in a
coverup of the Chinese Communist Party's response to the COVID-
19 pandemic.
(4) The World Health Organization grants observer status to
Taiwan.
(5) The World Health Organization does not divert
humanitarian or medical supplies to Iran, North Korea, or
Syria.
(6) The World Health Organization has put in place
mechanisms to increase transparency and accountability in its
operations and eliminate waste, fraud, and abuse.
(7) The World Health Organization has ceased all funding
for, engagement in, and messaging with respect to certain
controversial and politically charged issues that are non-
germane to the World Health Organization's directive,
including--
(A) so-called ``gender identity'' and harmful
rhetoric relating to ``gender affirming care'';
(B) climate change; and
(C) access to abortion.
(8) The World Health Organization has agreed that as a
condition of membership by the United States in the World
Health Organization, no directive issued by the World Health
Organization may be considered to be legally binding on any
United States citizen or individual State.
<all>
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118HR3132 | Travel for Care Act | [
[
"B000574",
"Rep. Blumenauer, Earl [D-OR-3]",
"sponsor"
]
] | <p><strong>Travel for Care Act </strong></p> <p>This bill allows a tax exemption for employer-reimbursed travel expenses for abortion-related care. These are expenses incurred by an employee or employee family members for travel, including meals and lodging, to receive an abortion or follow-up care related to such abortion. The bill also allows a medical expense tax deduction for such abortion-related travel expenses.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3132 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3132
To amend the Internal Revenue Code of 1986 to exclude employer-
reimbursed travel expenses for abortion-related care from taxation, and
for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Blumenauer introduced the following bill; which was referred to the
Committee on Ways and Means, and in addition to the Committees on
Education and the Workforce, and Energy and Commerce, for a period to
be subsequently determined by the Speaker, in each case for
consideration of such provisions as fall within the jurisdiction of the
committee concerned
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to exclude employer-
reimbursed travel expenses for abortion-related care from taxation, and
for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Travel for Care Act''.
SEC. 2. TAX TREATMENT OF ABORTION-RELATED TRAVEL ARRANGEMENTS.
(a) Amendments to the Internal Revenue Code of 1986.--
(1) Exception from group health plan requirements for
abortion-related travel arrangements.--Section 9831 of the
Internal Revenue Code of 1986 is amended by adding at the end
the following new subsection:
``(e) Exception for Abortion-Related Travel Arrangements.--
``(1) In general.--For purposes of this title (and
notwithstanding any other provision of this title), the term
`group health plan' shall not include any abortion-related
travel arrangement.
``(2) Abortion-related travel arrangement.--For purposes of
this section, the term `abortion-related travel arrangement'
means an arrangement which--
``(A) is funded by an employer, and
``(B) provides for the payment of, or reimbursement
of, an employee for expenses incurred by the employee
or the family members of such employee (as determined
under the terms of the arrangement) for travel,
including meals and lodging, to receive an abortion or
follow-up care related to such abortion.''.
(2) Meals and lodging related to travel for abortion-
related medical care included as amounts paid for medical care;
increased limitation for such amounts.--Section 213(d) of such
Code is amended--
(A) in paragraph (1), by striking ``or'' at the end
of subparagraph (C), by striking the period at the end
of subparagraph (D) and inserting ``, or'', and by
adding at the end the following new subparagraph:
``(E) in the case of an abortion or follow-up care
related to an abortion, for meals and lodging while
away from home primarily for and essential to such care
if there is no significant element of personal
pleasure, recreation, or vacation in the travel away
from home.'', and
(B) in paragraph (2)--
(i) in the heading, by striking ``Amounts
paid for certain lodging away from home treated
as paid for medical care'' and inserting
``Special rules for lodging and meals'',
(ii) by redesignating subparagraphs (A) and
(B) as clauses (i) and (ii), respectively,
(iii) by striking ``Amounts paid for
lodging'' and inserting:
``(A) Amounts paid for certain lodging away from
home treated as paid for medical care.--Amounts paid
for lodging other than lodging described in paragraph
(1)(E)'', and
(iv) by adding at the end the following new
subparagraph:
``(B) Limitation on amounts taken into account for
meals and lodging related to abortion-related medical
care.--In the case of amounts paid for meals and
lodging as described in subparagraph (E) of paragraph
(1), the amount taken into account under such
subparagraph shall not exceed, with respect to each
night and each individual, the maximum per diem rates
for official Federal Government travel published
annually by the General Services Administration, the
Department of State, and the Department of Defense.''.
(3) Abortion-related travel arrangements disregarded for
purposes of health savings account eligibility.--Section
223(c)(1)(B)(ii) of such Code is amended by striking ``or''
after ``long-term care,'' and by inserting ``or coverage under
an abortion-related travel arrangement (as defined in section
9831(e)(2)),'' after ``other remote care,''.
(4) Effective date.--The amendments made by this subsection
shall apply to amounts paid or incurred after June 23, 2022.
(b) Amendments to the Employee Retirement Income Security Act of
1974.--
(1) In general.--Section 733(a)(1) of the Employee
Retirement Income Security Act of 1974 (29 U.S.C. 1191b(a)(1))
is amended by inserting ``or any abortion-related travel
arrangement (as defined in section 9831(e)(2) of such Code)''
before the period at the end.
(2) Exception from continuation coverage requirements,
etc.--Section 607(1) of such Act (29 U.S.C. 1167(1)) is amended
by inserting ``or any abortion-related travel arrangement (as
defined in section 9831(e)(2) of such Code)'' before the period
at the end.
(3) Effective date.--The amendments made by this subsection
shall apply to plan years beginning after June 23, 2022.
(c) Amendments to the Public Health Service Act.--
(1) In general.--Section 2791(a)(1) of the Public Health
Service Act (42 U.S.C. 300gg-91(a)(1)) is amended by inserting
``or any abortion-related travel arrangement (as defined in
section 9831(e)(2) of such Code)'' before the period at the
end.
(2) Exception from continuation coverage requirements.--
Section 2208(1) of the Public Health Service Act (42 U.S.C.
300bb-8(1)) is amended by inserting ``or any abortion-related
travel arrangement (as defined in section 9831(e)(2) of such
Code)'' before the period at the end.
(3) Effective date.--The amendments made by this subsection
shall apply to plan years beginning after June 23, 2022.
SEC. 3. SAFE HARBOR FOR ABSENCE OF DEDUCTIBLE FOR CONTRACEPTION,
ABORTION, AND ABORTION-RELATED EXPENSES.
(a) In General.--Section 223(c)(2) of the Internal Revenue Code of
1986 is amended by adding at the end the following new subparagraph:
``(H) Safe harbor for absence of deductible for
contraception, abortion, and abortion-related
expenses.--A plan shall not fail to be treated as a
high deductible health plan by reason of failing to
have a deductible for contraception, abortion, or
abortion-related travel expenses described in section
9831(e)(2).''.
(b) Effective Date.--The amendments made by this subsection shall
apply to plan years beginning after June 23, 2022.
<all>
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118HR3133 | Acupuncture for Our Seniors Act of 2023 | [
[
"C001080",
"Rep. Chu, Judy [D-CA-28]",
"sponsor"
],
[
"F000466",
"Rep. Fitzpatrick, Brian K. [R-PA-1]",
"cosponsor"
],
[
"L000582",
"Rep. Lieu, Ted [D-CA-36]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3133 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3133
To amend title XVIII of the Social Security Act to provide coverage for
acupuncturist services under the Medicare program.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Ms. Chu (for herself and Mr. Fitzpatrick) introduced the following
bill; which was referred to the Committee on Energy and Commerce, and
in addition to the Committee on Ways and Means, for a period to be
subsequently determined by the Speaker, in each case for consideration
of such provisions as fall within the jurisdiction of the committee
concerned
_______________________________________________________________________
A BILL
To amend title XVIII of the Social Security Act to provide coverage for
acupuncturist services under the Medicare program.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Acupuncture for Our Seniors Act of
2023''.
SEC. 2. COVERAGE FOR ACUPUNCTURIST SERVICES UNDER THE MEDICARE PROGRAM.
(a) In General.--Section 1861 of the Social Security Act (42 U.S.C.
1395x) is amended--
(1) in subsection (s)(2)--
(A) by adding ``and'' at the end of subparagraph
(JJ); and
(B) by adding at the end the following new
subparagraph:
``(KK) qualified acupuncturist services (as defined in
subsection (nnn)(1));''; and
(2) by adding at the end the following new subsection:
``(nnn) Qualified Acupuncturist Services.--
``(1) In general.--The term `qualified acupuncturist
services' means such services furnished by a qualified
acupuncturist (as defined in paragraph (2)), and such services
and supplies furnished as an incident to services furnished by
the qualified acupuncturist, as the qualified acupuncturist is
legally authorized to perform under State law.
``(2) Qualified acupuncturist defined.--For purposes of
this subsection, the term `qualified acupuncturist' means--
``(A) an individual who is licensed as an
acupuncturist by a State or, in the case of an
individual in a State that does not provide for such
licensure, meets such criteria (such as certification
through an appropriate nationally recognized
certification authority for acupuncturists) as the
Secretary may specify; or
``(B) a physician who is legally authorized to
perform acupuncture as part of the practice of medicine
and surgery by the State in which the physician
performs such function or action.
In specifying requirements under subparagraph (A), the
Secretary may use the same requirements as those established by
a certification authority described in such subparagraph.''.
(b) Payment Rules.--
(1) Payment under physician fee schedule.--Section
1848(j)(3) of the Social Security Act (42 U.S.C. 1395w-4(j)(3))
is amended by inserting ``(2)(KK),'' before ``(3),''.
(2) Separate payment for services of institutional
providers.--Section 1833(a)(2)(B) of the Social Security Act
(42 U.S.C. 1395l(a)(2)(B)) is amended--
(A) in clause (i), by inserting ``and in the case
of qualified acupuncturist services,'' after ``1999,'';
(B) in clause (ii), by inserting ``or in the case
of qualified acupuncturist services,'' after ``1999,'';
and
(C) in clause (iii), by inserting ``(other than
qualified acupuncturist services)'' after ``such
services''.
(3) Qualified acupuncturist treatment as a practitioner.--
Section 1842(b)(18)(C) of the Social Security Act (42 U.S.C.
1395u(b)(18)(C)) is amended by adding at the end the following
new clause:
``(ix) A qualified acupuncturist (as defined in section
1861(nnn)(2)).''.
(4) Separate billing for acupuncturist services furnished
in an inpatient hospital setting.--Section 1861(b)(4) of the
Social Security Act (42 U.S.C. 1395x(b)(4)) is amended by
inserting ``qualified acupuncturist services,'' after
``qualified psychologist services,''.
(c) Effective Date.--The amendments made by this section apply with
respect to services furnished on or after the date that is 270 days
after the date of enactment of this Act.
<all>
</pre></body></html>
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118HR3134 | Emergency Access to Insulin Act of 2023 | [
[
"C001119",
"Rep. Craig, Angie [D-MN-2]",
"sponsor"
],
[
"P000616",
"Rep. Phillips, Dean [D-MN-3]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3134 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3134
To amend the Public Health Service Act to establish insulin assistance
programs, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Ms. Craig (for herself and Mr. Phillips) introduced the following bill;
which was referred to the Committee on Energy and Commerce, and in
addition to the Committee on Ways and Means, for a period to be
subsequently determined by the Speaker, in each case for consideration
of such provisions as fall within the jurisdiction of the committee
concerned
_______________________________________________________________________
A BILL
To amend the Public Health Service Act to establish insulin assistance
programs, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Emergency Access to Insulin Act of
2023''.
SEC. 2. INSULIN ASSISTANCE PROGRAMS.
(a) In General.--Part B of title III of the Public Health Service
Act (42 U.S.C. 243 et seq.) is amended by adding at the end the
following:
``SEC. 320C. INSULIN ASSISTANCE PROGRAMS.
``(a) Establishment of Program of Grants to States, Indian Tribes,
and Tribal Organizations.--
``(1) In general.--The Secretary shall, not later than 1
year after the date of enactment of this section, make grants
to States, Indian tribes, and tribal organizations for the
purpose of carrying out programs to assist eligible individuals
in obtaining insulin in accordance with paragraph (4).
``(2) Grant and contract authority for states, indian
tribes, and tribal organizations.--
``(A) In general.--A State, Indian tribe, or tribal
organization receiving a grant under paragraph (1) may,
subject to subparagraph (B), expend the grant to carry
out the purpose described in such paragraph through
grants or contracts to public or private entities,
including local governments.
``(B) Certain applications.--If a nonprofit private
entity and a private entity that is not a nonprofit
entity both submit applications to a State, Indian
tribe, or tribal organization to receive an award of a
grant or contract under subparagraph (A), the State,
Indian tribe, or tribal organization shall give
priority to the application submitted by the nonprofit
private entity in any case in which the State, Indian
tribe, or tribal organization determines that the
quality of such application is equivalent to the
quality of the application submitted by the other
private entity.
``(3) Allotment.--Each State, Indian tribe, or tribal
organization that applies for a grant in accordance with
subsection (e) shall receive a grant under this section in an
amount that is equal to the sum of--
``(A) a minimum amount determined by the Secretary;
and
``(B) an additional amount based on criteria
established by the Secretary, which may include the
ability of the State, Indian tribe, or tribal
organization to successfully assist individuals in
seeking eligibility for Federal or State-funded
programs as described in paragraph (4)(A)(ii)(II).
``(4) Program components.--
``(A) In general.--A State, Indian tribe, or tribal
organization carrying out a program supported by a
grant under this subsection--
``(i) shall use the grant funds to--
``(I) issue insulin cards to
eligible individuals in accordance with
subparagraph (B); and
``(II) enter into agreements with
pharmacies--
``(aa) for such pharmacies
to fill prescriptions for
individuals displaying valid
insulin cards that are issued
in accordance with subparagraph
(B) at no cost to such
individuals; and
``(bb) for the State,
Indian tribe, or tribal
organization to pay such
pharmacies for insulin filled
for a prescription described in
item (aa); and
``(ii) may use the grant funds to--
``(I) purchase insulin; or
``(II) assist individuals in
seeking eligibility for Federal or
State-funded programs which may provide
coverage for insulin or otherwise
assist such individuals in obtaining
insulin.
``(B) Insulin cards.--
``(i) Application.--An eligible individual
seeking an insulin card through a program
supported by a grant under this subsection
shall submit an application to the State,
Indian tribe, or tribal organization receiving
the grant, at such time, in such manner, and
containing such information as the State,
Indian tribe, or tribal organization may
reasonably require for purposes of this
subsection, including--
``(I) documentation indicating
proof of--
``(aa) in the case of a
grant awarded to a State,
residency in the State;
``(bb) in the case of a
grant awarded to an Indian
tribe, membership in the Indian
tribe; or
``(cc) in the case of a
grant awarded to a tribal
organization, membership in the
Indian tribe or Indian
community served by the tribal
organization;
``(II) a prescription for insulin
that is prescribed to the individual;
``(III) a statement that, to the
best of the individual's knowledge, the
individual is an uninsured individual
or an underinsured individual; and
``(IV) if the individual is an
underinsured individual, the name of
the high-deductible health plan in
which the individual is enrolled and
any unique identifier of the plan, such
as a policy number.
``(ii) Initial card.--
``(I) In general.--A State, Indian
tribe, or tribal organization carrying
out a program supported by a grant
under this subsection shall issue an
initial insulin card to each individual
that submits an application to the
State, Indian tribe, or tribal
organization meeting the requirements
under clause (i).
``(II) Timing.--A State, Indian
tribe, or tribal organization that
receives an application under clause
(i) from an individual shall issue an
initial insulin card to such individual
not later than 5 business days after
receiving such application.
``(III) Supply.--An initial insulin
card issued to an individual under this
clause shall be valid for an
approximate 7-day supply of insulin
that is appropriate for the individual
based on the prescription for the
individual provided in the application
under clause (i) and packaging and
processing practices for insulin.
``(iii) 3-month cards.--Not later than 12
business days after an individual submits an
application under clause (i) to a State, Indian
tribe, or tribal organization, the State,
Indian tribe, or tribal organization shall--
``(I) determine whether the
individual is an eligible individual;
and
``(II) if the individual is an
eligible individual, issue the
individual an insulin card that is
valid for an approximate 90-day supply
of insulin that is appropriate for the
individual based on the prescription
provided in the application under
clause (i) and packaging and processing
practices for insulin.
``(iv) Renewal of cards.--
``(I) 3-month cards.--An eligible
individual that is issued an insulin
card under clause (iii) may apply to
renew such card in accordance with a
process established by the State,
Indian tribe, or tribal organization.
``(II) Limitation.--An individual
that submits an application under
clause (i) and is denied an insulin
card under clause (ii) or (iii) may not
submit another application under clause
(i) for the 1-year period beginning on
the date on which the individual is
denied such card.
``(b) Requirement of Matching Funds.--
``(1) In general.--The Secretary may not make a grant under
subsection (a) unless the State, Indian tribe, or tribal
organization involved agrees, with respect to the costs to be
incurred by the State, Indian tribe, or tribal organization in
carrying out the purpose described in subsection (a)(1), to
make available non-Federal contributions (in cash or in kind
under paragraph (2)) toward such costs in an amount equal to
not less than $1 for each $3 of Federal funds provided in the
grant. Such contributions may be made directly or through
donations from public or private entities.
``(2) Determination of amount of non-federal
contribution.--
``(A) In general.--Non-Federal contributions
required in paragraph (1) may be in cash or in kind,
fairly evaluated, including equipment or services (and
excluding indirect or overhead costs). Amounts provided
by the Federal Government, or services assisted or
subsidized to any significant extent by the Federal
Government, may not be included in determining the
amount of such non-Federal contributions.
``(B) Maintenance of effort.--In making a
determination of the amount of non-Federal
contributions for purposes of paragraph (1), the
Secretary may include only non-Federal contributions in
excess of the average amount of non-Federal
contributions made by the State, Indian tribe, or
tribal organization involved toward the purpose
described in subsection (a)(1) for the 2-year period
preceding the first fiscal year for which the State,
Indian tribe, or tribal organization is applying to
receive a grant under subsection (a).
``(C) Inclusion of relevant non-federal
contributions for medicaid.--In making a determination
of the amount of non-Federal contributions for purposes
of paragraph (1), the Secretary shall, subject to
subparagraphs (A) and (B) of this paragraph, include
any non-Federal amounts expended pursuant to title XIX
of the Social Security Act by the State, Indian tribe,
or tribal organization related to insulin dispensed to
individuals eligible for medical assistance under such
title.
``(c) Additional Required Agreements.--
``(1) Statewide provision of services.--
``(A) In general.--The Secretary may not make a
grant under subsection (a) unless the State, Indian
tribe, or tribal organization involved agrees that
services and activities under the grant will be made
available throughout the State (including availability
to members of any Indian tribe or tribal organization
in the State), Indian tribe, or tribal organization.
``(B) Waiver.--
``(i) In general.--The Secretary may waive
the requirement established in subparagraph (A)
for a State, Indian tribe, or tribal
organization if the Secretary determines that
compliance by the State, Indian tribe, or
tribal organization with the requirement would
result in an inefficient allocation of
resources with respect to carrying out the
purpose described in subsection (a)(1).
``(ii) Indian tribes and tribal
organizations.--If an Indian tribe or tribal
organization is receiving a grant under
subsection (a) and the State in which the tribe
or organization is located is receiving a grant
under subsection (a), the requirement under
subparagraph (A) for the State regarding
availability to the tribe or organization is
deemed to have been waived under this
subparagraph.
``(2) Relationship to items and services under other
programs.--
``(A) In general.--The Secretary may not make a
grant under subsection (a) unless the State, Indian
tribe, or tribal organization involved agrees that the
grant will not be expended to make payment for any item
or service to the extent that payment has been made, or
can reasonably be expected to be made, with respect to
such item or service--
``(i) except as provided in subparagraph
(B), under any State compensation program,
under an insurance policy, or under any Federal
or State health benefits program; or
``(ii) by an entity that provides health
services on a prepaid basis.
``(B) Exception.--The requirement under
subparagraph (A)(i) shall not apply with respect to
coverage under a high-deductible health plan.
``(3) Limitation on administrative expenses.--The Secretary
may not make a grant under subsection (a) unless the State,
Indian tribe, or tribal organization involved agrees that not
more than 10 percent of the grant will be expended for
administrative expenses with respect to the grant.
``(4) Records and audits.--The Secretary may not make a
grant under subsection (a) unless the State, Indian tribe, or
tribal organization involved agrees that--
``(A) the State, Indian tribe, or tribal
organization will establish such fiscal control and
fund accounting procedures as may be necessary to
ensure the proper disbursal of, and accounting for,
amounts received by the State, Indian tribe, or tribal
organization under such subsection;
``(B) the State, Indian tribe, or tribal
organization will keep such records as the Secretary
shall prescribe, including--
``(i) records that fully disclose--
``(I) the amount and disposition by
the State, Indian tribe, or tribal
organization of the proceeds of such
grant;
``(II) the total cost of the
project or undertaking intended to be
carried out through the grant; and
``(III) the amount of that portion
of the cost of the project or
undertaking supplied by sources other
than the grant; and
``(ii) such other records as the Secretary
determines appropriate for facilitating an
effective audit of grants awarded under this
section; and
``(C) upon request, the State, Indian tribe, or
tribal organization will provide records maintained
pursuant to subparagraphs (A) and (B) to the Secretary
or the Comptroller General of the United States for
purposes of auditing the expenditures by the State,
Indian tribe, or tribal organization of the grant.
``(5) Reports.--
``(A) Reports to the secretary.--The Secretary may
not make a grant under subsection (a) unless the State,
Indian tribe, or tribal organization involved agrees to
submit to the Secretary such reports as the Secretary
may require with respect to the grant, including a
report on--
``(i) the types of problems and inquiries
encountered by individuals applying for or
receiving insulin through a program supported
by such grant;
``(ii) the number of insulin products
dispensed through such program and the unit
costs for those products during the period
covered by the report;
``(iii) the number of pharmacies
participating in the program during the period
covered by the report;
``(iv) summary data on the individuals
applying for or receiving insulin through the
program; and
``(v) any other information the Secretary
shall determine necessary to provide oversight
of the grants made under this section.
``(B) High-deductible health plans.--The Secretary
may not make a grant under subsection (a) unless the
State, Indian tribe, or tribal organization involved
agrees to, as soon as practicable after each time the
State, Indian tribe, or tribal organization provides
payment to a pharmacy for insulin for an underinsured
individual, submit to the high-deductible health plan
in which the individual is enrolled information on the
amount of such payment in order for such plan to comply
with the requirements under section 2710.
``(d) Description of Intended Uses of Grant.--The Secretary may not
make a grant under subsection (a) unless--
``(1) the State, Indian tribe, or tribal organization
involved submits to the Secretary a description of the purposes
for which the State, Indian tribe, or tribal organization
intends to expend the grant;
``(2) the description identifies the populations, areas,
and localities in the State, or under the jurisdiction of the
Indian tribe or tribal organization, with a need for a program
to assist individuals in obtaining insulin in accordance with
subsection (a);
``(3) the description provides information relating to the
services and activities to be provided, including a description
of the manner in which the services and activities will be
coordinated with any similar services or activities of public
or private entities; and
``(4) the description provides assurances that the grant
funds will be used in the most cost-effective manner.
``(e) Requirement of Submission of Application.--The Secretary may
not make a grant under subsection (a) unless an application for the
grant is submitted to the Secretary, the application contains the
description of intended uses required under subsection (d), and the
application is in such form, is made in such manner, and contains such
agreements, assurances, and information as the Secretary determines to
be necessary to carry out this section.
``(f) Technical Assistance and Provision of Supplies and Services
in Lieu of Grant Funds.--
``(1) Technical assistance.--The Secretary may provide
training and technical assistance with respect to the planning,
development, and operation of any program or service carried
out pursuant to subsection (a). The Secretary may provide such
technical assistance directly or through grants to, or
contracts with, public or private entities.
``(2) Provision of supplies and services in lieu of grant
funds.--
``(A) In general.--Upon the request of a State,
Indian tribe, or tribal organization receiving a grant
under subsection (a), the Secretary may, subject to
subparagraph (B), provide supplies, equipment, and
services for the purpose of aiding the State, Indian
tribe, or tribal organization in carrying out such
subsection and, for such purpose, may detail to the
State, Indian tribe, or tribal organization any officer
or employee of the Department of Health and Human
Services.
``(B) Corresponding reduction in payments.--With
respect to a request described in subparagraph (A), the
Secretary shall reduce the amount of payments under the
grant under subsection (a) to the State, Indian tribe,
or tribal organization involved by an amount equal to
the costs of detailing personnel (including pay,
allowances, and travel expenses) and the fair market
value of any supplies, equipment, or services provided
by the Secretary. The Secretary shall, for the payment
of expenses incurred in complying with such request,
expend the amounts withheld.
``(g) Evaluations and Reports.--
``(1) Evaluations.--The Secretary shall, directly or
through contracts with public or private entities, provide for
annual evaluations of programs carried out pursuant to
subsection (a). Such evaluations shall include evaluations of--
``(A) the extent to which States, Indian tribes,
and tribal organizations carrying out such programs are
in compliance with subsection (a) and with subsection
(c)(1); and
``(B) the extent to which each State, Indian tribe,
or tribal organization receiving a grant under this
section is in compliance with subsection (b), including
identification of--
``(i) the amount of the non-Federal
contributions by the State, Indian tribe, or
tribal organization for the preceding fiscal
year, disaggregated according to the source of
the contributions; and
``(ii) the proportion of such amount of
non-Federal contributions relative to the
amount of Federal funds provided through the
grant to the State, Indian tribe, or tribal
organization for the preceding fiscal year.
``(2) Reports to congress.--The Secretary shall, not later
than 1 year after the date of enactment of the Emergency Access
to Insulin Act of 2023, and annually thereafter, submit to the
Committee on Health, Education, Labor, and Pensions of the
Senate and the Committee on Energy and Commerce of the House of
Representatives a report summarizing evaluations carried out
under paragraph (1) during the preceding fiscal year and making
such recommendations for administrative and legislative
initiatives with respect to this section as the Secretary
determines to be appropriate, including recommendations
regarding compliance by the States, Indian tribes, and tribal
organizations with subsection (a) and with subsection (c)(1).
``(h) Funding for General Program.--
``(1) Authorization of appropriations.--For the purpose of
carrying out this section, there are authorized to be
appropriated such sums as may be necessary.
``(2) Set-aside for technical assistance and provision of
supplies and services.--Of the amounts appropriated under
paragraph (1) for a fiscal year, the Secretary shall reserve
not more than 20 percent for carrying out subsection (f).
``(i) Sunset.--The authority to award grants under subsection (a)
shall be effective beginning on the date of enactment of the Emergency
Access to Insulin Act of 2023 and ending on the date that is 5 years
after such date.
``(j) Definitions.--For purposes of this section:
``(1) Eligible individual.--The term `eligible individual',
with respect to a program supported by a State, Indian tribe,
or tribal organization receiving a grant under this section,
means an uninsured individual or an underinsured individual--
``(A)(i) in the case of a grant to a State, who is
a resident of the State;
``(ii) in the case of a grant to an Indian tribe,
who is a member of such tribe; or
``(iii) in the case of a grant to a tribal
organization, who is a member of the Indian tribe or
Indian community served by the tribal organization; and
``(B) who has a valid prescription for insulin that
is prescribed to such individual.
``(2) Group health insurance coverage; group health plan;
health insurance issuer.--The terms `group health insurance
coverage', `group health plan', and `health insurance issuer'
have the meanings given such terms in section 2791.
``(3) High-deductible health plan.--The term `high-
deductible health plan' means a group health plan or group or
individual health insurance coverage (offered by a health
insurance issuer) that meets criteria established by the
Secretary.
``(4) Indian tribe.--The term `Indian tribe' has the
meaning given such term in section 4 of the Indian Health Care
Improvement Act (25 U.S.C. 1603).
``(5) Individual health insurance coverage.--The term
`individual health insurance coverage' has the meaning given
such term in section 2791.
``(6) Tribal organization.--The term `tribal organization'
has the meaning given such term in section 4 of the Indian
Health Care Improvement Act (25 U.S.C. 1603).
``(7) Underinsured individual.--The term `underinsured
individual' means an individual who is enrolled in a high-
deductible health plan.
``(8) Uninsured individual.--The term `uninsured
individual' means an individual who does not have minimum
essential coverage as defined in section 5000A(f)(1) of the
Internal Revenue Code of 1986 or coverage under a medical care
program of the Indian Health Service or of a tribal
organization or urban Indian organization.
``(9) Urban indian organization.--The term `urban Indian
organization' has the meaning given such term in section 4 of
the Indian Health Care Improvement Act.''.
(b) Exempting Prices Used Under an Insulin Assistance Program From
Best Price and Average Manufacturer Price Under the Medicaid Drug
Rebate Program.--Section 1927 of the Social Security Act (42 U.S.C.
1396r-8) is amended--
(1) in subsection (c)(1)(C)(i)(III), by inserting ``or
under an insulin assistance program supported under section
320C of the Public Health Service Act'' after ``State
pharmaceutical assistance program''; and
(2) in subsection (k)(1)(B)(i)--
(A) in subclause (IV), by inserting a semicolon at
the end;
(B) in subclause (VII), by striking ``; and'' and
inserting a semicolon;
(C) in subclause (VIII), by striking the period at
the end and inserting ``; and''; and
(D) by adding at the end the following new
subclause:
``(IX) any prices used under an
insulin assistance program supported
under section 320C of the Public Health
Service Act.''.
(c) Deductibles for Underinsured Individuals Participating in
Insulin Assistance Programs.--Subpart I of part A of title XXVII of the
Public Health Service Act (42 U.S.C. 300gg et seq.) is amended by
adding at the end the following:
``SEC. 2710. DEDUCTIBLES AND OTHER OUT-OF-POCKET EXPENSES FOR
UNDERINSURED INDIVIDUALS PARTICIPATING IN INSULIN
ASSISTANCE PROGRAMS.
``(a) In General.--A group health plan that is a high-deductible
health plan and a health insurance issuer offering a high-deductible
health plan shall, with respect to any individual who is enrolled in
such plan and obtains insulin during a plan year through an insulin
card issued to the individual by a State, Indian tribe, or tribal
organization carrying out an insulin assistance program under section
320C, count the amount the State, Indian tribe, or tribal organization
pays a pharmacy for insulin for such individual for such plan year
towards any deductible or other out-of-pocket expenses required to be
paid under the plan.
``(b) High-Deductible Health Plan.--For purposes of this section,
the term `high-deductible health plan' has the meaning given such term
in section 320C(j).''.
SEC. 3. ANNUAL FEES APPLICABLE TO INSULIN MANUFACTURERS.
(a) Definitions.--For purposes of this section:
(1) Annual payment date.--The term ``annual payment date''
means, with respect to a calendar year, the date determined by
the Secretary, but in no event later than September 30 of such
calendar year.
(2) Covered entity.--The term ``covered entity'', with
respect to a calendar year, means an entity that--
(A) is the holder of an application approved under
subsection (c) of section 505 of the Federal Food,
Drug, and Cosmetic Act (21 U.S.C. 355), or of a license
issued under subsection (a) of section 351 of the
Public Health Service Act (42 U.S.C. 262), for an
insulin product; and
(B) during the preceding calendar year,
manufactured any insulin product that was sold in
commerce and covered by a Federal health program at
least once during such preceding calendar year.
(3) Inspector general.--The term ``Inspector General''
means the Inspector General of the Department of Health and
Human Services.
(4) Secretary.--The term ``Secretary'' means the Secretary
of Health and Human Services.
(b) Imposition of Fee.--Each covered entity for a calendar year,
beginning in 2024 and ending in 2028, shall pay to the Secretary not
later than the annual payment date of such calendar year a fee in an
amount determined under subsection (c).
(c) Amount of Fees.--
(1) Total amount.--The Secretary shall ensure that the
total amount in fees assessed under subsection (b)--
(A) for calendar year 2024, equals the total amount
the Secretary estimates as the total expenditures for
carrying out section 320C of the Public Health Service
Act for such calendar year; and
(B) for each of calendar years 2025 through 2028,
equals the total amount of expenditures the Secretary
determines for carrying out such section for the
preceding calendar year.
(2) Determination of fees for each manufacturer.--
(A) Formula.--With respect to each covered entity,
the fee under this section for a calendar year shall be
equal to an amount that bears the same ratio to the
total amount assessed under subsection (b) for such
year as the covered entity's sales of insulin products
taken into account during the preceding calendar year
bears to the aggregate sales of insulin products of all
covered entities taken into account during such
preceding calendar year.
(B) Sales of insulin products.--
(i) In general.--For purposes of this
paragraph, the sales of insulin products taken
into account during any calendar year with
respect to any covered entity shall be
determined based on the total number of units
of the insulin product which were sold in
commerce in the preceding calendar year based
on--
(I) for a fee assessed for calendar
year 2024, information obtained by the
Secretary under clause (ii); and
(II) for a fee assessed for each of
calendar years 2025 through 2028, the
information provided in the annual
reports issued by the Inspector General
and made public under section 4(e)(1).
(ii) Fees assessed for calendar year
2024.--For purposes of clause (i)(I), the
Secretary shall require each covered entity to
submit to the Secretary information on the
total number of units of the insulin product
manufactured by the entity that were sold in
commerce in calendar year 2023.
(d) Deposit.--The Secretary shall deposit amounts received through
fees assessed under subsection (b) into the general fund of the
Treasury.
(e) Enforcement.--The Secretary may bring an action in any court of
competent jurisdiction to recover the amount of any fee that is
assessed under subsection (b) for a calendar year and not paid by the
annual payment date.
SEC. 4. IDENTIFICATION OF INSULIN PRICE SPIKES; APPLICATION OF EXCISE
TAX.
(a) Definitions.--In this section:
(1) Applicable entity.--The term ``applicable entity''
means the holder of an application approved under subsection
(c) or (j) of section 505 of the Federal Food, Drug, and
Cosmetic Act (21 U.S.C. 355), or of a license issued under
subsection (a) or (k) of section 351 of the Public Health
Service Act (42 U.S.C. 262), for an insulin product.
(2) Commerce.--The term ``commerce'' has the meaning given
such term in section 4 of the Federal Trade Commission Act (15
U.S.C. 44).
(3) Inspector general.--The term ``Inspector General''
means the Inspector General of the Department of Health and
Human Services.
(4) Price spike.--
(A) In general.--The term ``price spike'' means an
increase in the wholesale acquisition cost in commerce
of an insulin product for which the price spike
percentage is equal to or greater than the applicable
price increase allowance.
(B) Price spike percentage.--The term ``price spike
percentage'' means the percentage (if any) by which--
(i) the wholesale acquisition cost of an
insulin product in commerce for the calendar
year; exceeds
(ii) the wholesale acquisition cost of such
insulin product in commerce for the calendar
year preceding such year.
(C) Applicable price increase allowance.--The term
``applicable price increase allowance'', with respect
to a calendar year, means the percentage (rounded to
the nearest one-tenth of 1 percent) by which the C-CPI-
U (as defined in section 1(f)(6) of the Internal
Revenue Code of 1986) for that year exceeds the C-CPI-U
(as so defined) for the preceding calendar year.
(5) Price spike revenue.--
(A) In general.--The term ``price spike revenue'',
with respect to a calendar year, means an amount equal
to--
(i) the gross price spike revenue, minus
(ii) the adjustment amount.
(B) Gross price spike revenue.--The term ``gross
price spike revenue'', with respect to a calendar year,
means an amount equal to the product of--
(i) an amount equal to the difference
between clause (i) of paragraph (4)(B) and
clause (ii) of such paragraph; and
(ii) the total number of units of the
insulin product which were sold in commerce in
such calendar year.
(C) Adjustment amount.--The term ``adjustment
amount'' means the amount, if any, of the gross price
spike revenue which the Inspector General has
determined is due solely to an increase in the cost of
the inputs necessary to manufacture the insulin product
subject to the price spike.
(b) Submission by Pharmaceutical Companies of Information to
Inspector General.--
(1) In general.--For each insulin product, the applicable
entity shall submit to the Inspector General a quarterly report
that includes each of the following:
(A) For each insulin product of the applicable
entity--
(i) the total number of units of the
insulin product which were sold in commerce in
the preceding calendar quarter;
(ii) the average and median wholesale
acquisition cost per unit of such insulin
product in commerce in the preceding calendar
quarter, disaggregated by month; and
(iii) the gross revenues from sales of such
insulin product in commerce in the preceding
calendar quarter.
(B) Such information related to increased input
costs or public health considerations as the applicable
entity may wish the Inspector General to consider in
making a determination under clause (ii) of subsection
(c)(2)(B) or an assessment in clause (iii) of such
subsection for the preceding calendar quarter.
(C) Such information related to any anticipated
increased input costs for the subsequent calendar
quarter as the applicable entity may wish the Inspector
General to consider in making a determination under
clause (ii) of subsection (c)(2)(B) or an assessment in
clause (iii) of such subsection for such calendar
quarter.
(2) Penalty for failure to submit.--
(A) In general.--An applicable entity described in
paragraph (1) that fails to submit information to the
Inspector General regarding an insulin product, as
required by such paragraph, before the date specified
in paragraph (3) shall be liable for a civil penalty,
as determined under subparagraph (B).
(B) Amount of penalty.--The amount of the civil
penalty shall be equal to the product of--
(i) an amount, as determined appropriate by
the Inspector General, which is--
(I) not less than 0.5 percent of
the gross revenues from sales of the
insulin product described in
subparagraph (A) for the preceding
calendar year; and
(II) not greater than 1 percent of
the gross revenues from sales of such
insulin product for the preceding
calendar year; and
(ii) the number of days in the period
between--
(I) the applicable date specified
in paragraph (3); and
(II) the date on which the
Inspector General receives the
information described in paragraph (1)
from the applicable entity.
(3) Submission deadline.--An applicable entity shall submit
each quarterly report described in paragraph (1) not later than
January 17, April 18, June 15, and September 15 of each
calendar year.
(c) Assessment by Inspector General.--
(1) In general.--Not later than the last day in February of
each year, the Inspector General, in consultation with other
relevant Federal agencies (including the Federal Trade
Commission), shall--
(A) complete an assessment of the information the
Inspector General received pursuant to subsection
(b)(1) with respect to sales of insulin products in the
preceding calendar year; and
(B) in the case of any insulin product which
satisfies the conditions described in paragraph (1) or
(2) of subsection (d), submit a recommendation to the
Secretary of Health and Human Services that such
insulin product be exempted from application of the tax
imposed under section 4191 of the Internal Revenue Code
of 1986 (as added by subsection (g)) for such year.
(2) Elements.--The assessment required by paragraph (1)(A)
shall include each of the following:
(A) Identification of each price spike relating to
an insulin product in the preceding calendar year.
(B) For each price spike identified under
subparagraph (A)--
(i) a determination of the price spike
revenue;
(ii) a determination regarding the accuracy
of the information submitted by the applicable
entity regarding increased input costs; and
(iii) an assessment of the rationale of the
applicable entity for the price spike.
(d) Exemption of Certain Insulin Products.--
(1) In general.--The Secretary of Health and Human
Services, upon recommendation of the Inspector General pursuant
to subsection (c)(1)(B), may exempt any insulin product which
has been subject to a price spike during the preceding calendar
year from application of the tax imposed under section 4191 of
the Internal Revenue Code of 1986 for such year, if the
Secretary determines that, based on information submitted
pursuant to subsection (b)(1)(B), a for-cause price increase
exemption should apply.
(2) Clarification.--In considering, under paragraph (1),
information submitted pursuant to subsection (b)(1)(B), the
Secretary--
(A) has the discretion to determine that such
information does not warrant a for-cause price increase
exemption; and
(B) shall exclude from such consideration any
information submitted by the applicable entity
threatening to curtail or limit production of the
insulin product if the Secretary does not grant an
exemption from the application of the tax under section
4191 of the Internal Revenue Code of 1986.
(e) Reports by Inspector General.--
(1) Public report.--
(A) In general.--Not later than the last day in
February of each year, subject to subparagraph (C), the
Inspector General shall issue a report containing the
information described in subparagraph (B) to be made
available to the public, including on the internet
website of the Inspector General.
(B) Contents.--The report issued under subparagraph
(A) shall include each of the following:
(i) The information received under
subsection (b)(1) with respect to the preceding
calendar year.
(ii) The price spikes identified under
subparagraph (A) of subsection (c)(2).
(iii) The price spike revenue
determinations made under subparagraph (B)(i)
of such subsection.
(iv) The determinations and assessments
made under clauses (ii) and (iii) of
subparagraph (B) of such subsection.
(C) Proprietary information.--The Inspector General
shall ensure that any information made public in
accordance with subparagraph (A) excludes trade secrets
and confidential commercial information.
(2) Report to internal revenue service.--
(A) In general.--Subject to subparagraph (C), not
later than the last day in February of each year, the
Inspector General shall transmit to the Internal
Revenue Service a report on the findings of the
Inspector General with respect to the information the
Inspector General received under subsection (b)(1) with
respect to the preceding calendar year and the
assessment carried out by the Inspector General under
subsection (c)(1)(A) with respect to such information.
(B) Contents.--The report transmitted under
subparagraph (A) shall include the information
described in paragraph (1)(B).
(C) Notice and opportunity for hearing.--
(i) In general.--No report shall be
transmitted to the Internal Revenue Service
under subparagraph (A) with respect to an
insulin product unless the Inspector General
has provided the applicable entity with--
(I) the assessment of such insulin
product under subsection (c)(1)(A); and
(II) notice of their right to a
hearing in regards to such assessment.
(ii) Notice.--The notice required under
clause (i) shall be provided to the applicable
entity not later than 30 days after completion
of the assessment under subsection (c)(1)(A).
(iii) Request for hearing.--Subject to
clause (v), an applicable entity may request a
hearing before the Secretary of Health and
Human Services not later than 30 days after the
date on which the notice under clause (ii) is
received.
(iv) Completion of hearing.--In the case of
an applicable entity which requests a hearing
pursuant to clause (iii), the Secretary of
Health and Human Services shall, not later than
12 months after the date on which the
assessment under subsection (c)(1)(A) was
completed by the Inspector General--
(I) make a final determination in
regards to the accuracy of such
assessment; and
(II) provide the report described
in subparagraph (B) to the Internal
Revenue Service.
(v) Limitation.--An applicable entity may
request a hearing under clause (iii) with
respect to a particular insulin product only
once within a 5-year period.
(f) Notification.--The Secretary of the Treasury shall notify, at
such time and in such manner as the Secretary of the Treasury shall
provide, each applicable entity in regard to any insulin product which
has been determined to have been subject to a price spike during the
preceding calendar year and the amount of the tax imposed on such
applicable entity pursuant to section 4191 of the Internal Revenue Code
of 1986.
(g) Excise Tax on Insulin Products Subject to Price Spikes.--
(1) In general.--Chapter 32 of the Internal Revenue Code of
1986 is amended by inserting after subchapter D the following
new subchapter:
``Subchapter E--Certain Insulin Products
``Sec. 4191. Insulin products subject to price spikes.
``SEC. 4191. INSULIN PRODUCTS SUBJECT TO PRICE SPIKES.
``(a) Imposition of Tax.--
``(1) In general.--Subject to paragraph (3), for each
taxable insulin product sold by an applicable entity during the
calendar year, there is hereby imposed on such entity a tax
equal to the greater of--
``(A) the annual price spike tax for such insulin
product, or
``(B) subject to paragraph (2), the cumulative
price spike tax for such insulin product.
``(2) Limitation.--In the case of a taxable insulin product
for which the applicable period (as determined under subsection
(c)(2)(E)(i)) is less than 2 calendar years, the cumulative
price spike tax shall not apply.
``(3) Exemption.--For any calendar year in which the
Secretary of Health and Human Services has provided an
exemption for a taxable insulin product pursuant to section
4(d) of the Emergency Access to Insulin Act of 2023, the amount
of the tax determined under paragraph (1) for such insulin
product for such calendar year shall be reduced to zero.
``(b) Annual Price Spike Tax.--
``(1) In general.--The amount of the annual price spike tax
shall be equal to the applicable percentage of the price spike
revenue received by the applicable entity on the sale of the
taxable insulin product during the calendar year.
``(2) Applicable percentage.--For purposes of paragraph
(1), the applicable percentage shall be equal to--
``(A) in the case of a taxable insulin product
which has been subject to a price spike percentage
greater than the applicable price increase allowance
(as defined in section 4(a)(4)(C) of the Emergency
Access to Insulin Act of 2023) but less than 15
percent, 50 percent,
``(B) in the case of a taxable insulin product
which has been subject to a price spike percentage
equal to or greater than 15 percent but less than 20
percent, 75 percent, and
``(C) in the case of a taxable insulin product
which has been subject to a price spike percentage
equal to or greater than 20 percent, 100 percent.
``(c) Cumulative Price Spike Tax.--
``(1) In general.--The amount of the cumulative price spike
tax shall be equal to the applicable percentage of the
cumulative price spike revenue received by the applicable
entity on the sale of the taxable insulin product during the
calendar year.
``(2) Applicable percentage.--
``(A) In general.--For purposes of paragraph (1),
the applicable percentage shall be equal to--
``(i) in the case of a taxable insulin
product which has been subject to a cumulative
price spike percentage greater than the
cumulative price increase allowance but less
than the first multi-year percentage, 50
percent,
``(ii) in the case of a taxable insulin
product which has been subject to a cumulative
price spike percentage equal to or greater than
the first multi-year percentage but less than
the second multi-year percentage, 75 percent,
and
``(iii) in the case of a taxable insulin
product which has been subject to a cumulative
price spike percentage equal to or greater than
the second multi-year percentage, 100 percent.
``(B) Cumulative price spike percentage.--The
cumulative price spike percentage is the percentage (if
any) by which--
``(i) the wholesale acquisition cost of the
taxable insulin product in commerce for the
preceding calendar year, exceeds
``(ii) the wholesale acquisition cost of
such insulin product in commerce for the base
year.
``(C) Cumulative price increase allowance.--For
purposes of clause (i) of subparagraph (A), the
cumulative price increase allowance for any calendar
year is the percentage (rounded to the nearest one-
tenth of 1 percent) by which the C-CPI-U (as defined in
section 1(f)(6)) for that year exceeds the C-CPI-U for
the base year.
``(D) Multi-year percentages.--For purposes of
subparagraph (A), the first multi-year percentage and
second multi-year percentage shall be determined in
accordance with the following table:
------------------------------------------------------------------------
First Second
``Number of years in applicable period multi-year multi-year
percentage percentage
------------------------------------------------------------------------
2 years....................................... 17.5 22.5
3 years....................................... 20.0 25.0
4 years....................................... 22.5 27.5
5 years....................................... 25.0 30.0.
------------------------------------------------------------------------
``(E) Applicable period and base year.--
``(i) Applicable period.--The applicable
period shall be the lesser of--
``(I) the 5 preceding calendar
years,
``(II) all calendar years beginning
after the date of enactment of this
section, or
``(III) all calendar years in which
the taxable insulin product was sold in
commerce.
``(ii) Base year.--The base year shall be
the calendar year immediately preceding the
applicable period.
``(3) Cumulative price spike revenue.--For purposes of
paragraph (1), the cumulative price spike revenue for any
taxable insulin product shall be an amount equal to--
``(A) an amount equal to the product of--
``(i) an amount (not less than zero) equal
to--
``(I) the wholesale acquisition
cost of such insulin product in
commerce for the preceding calendar
year, minus
``(II) the wholesale acquisition
cost of such insulin product in
commerce for the base year, and
``(ii) the total number of units of such
insulin product which were sold in commerce in
the preceding calendar year, minus
``(B) an amount equal to the sum of the adjustment
amounts, if any, determined under section 4(a)(5)(C) of
the Emergency Access to Insulin Act of 2023 for each
calendar year during the applicable period.
``(d) Definitions.--For purposes of this section--
``(1) Taxable insulin product.--The term `taxable insulin
product' means an insulin product which has been identified by
the Inspector General of the Department of Health and Human
Services, under section 4(c)(2)(A) of the Emergency Access to
Insulin Act of 2023, as being subject to a price spike.
``(2) Other terms.--The terms `applicable entity', `price
spike', `price spike percentage', and `price spike revenue'
have the same meaning given such terms under section 4(a) of
the Emergency Access to Insulin Act of 2023.''.
(2) Clerical amendment.--The table of subchapters for
chapter 32 of the Internal Revenue Code of 1986 is amended by
inserting after the item relating to subchapter D the following
new item:
``subchapter e--certain insulin products''.
(3) Effective date.--The amendments made by this subsection
shall apply to sales after the date of the enactment of this
Act.
SEC. 5. BIOLOGICAL PRODUCT EXCLUSIVITY.
(a) In General.--Section 351(k)(7)(A) of the Public Health Service
Act (42 U.S.C. 262(k)(7)(A)) is amended by striking ``12 years'' and
inserting ``7 years''.
(b) Conforming Amendments.--Paragraphs (2)(A) and (3)(A) of section
351(m) of the Public Health Service Act (42 U.S.C. 262(m)) is amended
by striking ``12 years'' each place it appears and inserting ``7
years''.
<all>
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| [
"Health"
] | {
"bill": {
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118HR3135 | LPOE Modernization Trust Fund Act | [
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[
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[
"G0... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3135 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3135
To establish the Land Port of Entry Modernization Trust Fund, and for
other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Cuellar (for himself, Mr. Tony Gonzales of Texas, Ms. Escobar, Mr.
Vasquez, and Mr. Vicente Gonzalez of Texas) introduced the following
bill; which was referred to the Committee on Ways and Means, and in
addition to the Committees on Homeland Security, Agriculture, and the
Judiciary, for a period to be subsequently determined by the Speaker,
in each case for consideration of such provisions as fall within the
jurisdiction of the committee concerned
_______________________________________________________________________
A BILL
To establish the Land Port of Entry Modernization Trust Fund, and for
other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``LPOE Modernization Trust Fund Act''.
SEC. 2. LAND PORT OF ENTRY MODERNIZATION TRUST FUND.
(a) Creation of Trust Fund.--There is established in the Treasury
of the United States a trust fund to be known as the ``Land Port of
Entry Modernization Trust Fund'' (referred to in this section as the
``Trust Fund''), consisting of amounts transferred to the Trust Fund
under subsection (b) and any amounts that may be credited to the Trust
Fund under subsection (c).
(b) Deposits Into Trust Fund.--There shall be deposited into the
Trust Fund as discretionary offsetting collections, for fiscal year
2024 and each fiscal year thereafter--
(1) twenty-five percent of all fees collected pursuant to
section 13031(b)(9)(A)(ii)(I) of the Consolidated Omnibus
Budget Reconciliation Act of 1985 (19 U.S.C.
58c(b)(9)(A)(ii)(I));
(2) up to $1,600,000,000 of the Merchandise Processing Fees
collected pursuant to section 13031(a)(9)(B)(i) of the
Consolidated Omnibus Budget Reconciliation Act of 1985 (19
U.S.C. 58c(a)(9)(B)(i)); and
(3) twenty-five percent of all surcharges collected under
subsection (h)(3) of this Act related to--
(A) immigrant user fee established under section
286(m) of the Immigration and Nationality Act (8 U.S.C.
22 1356(m));
(B) land border inspection fees established under
section 286(q) of such Act (8 U.S.C. 1356(q)); and
(C) the machine-readable visa fee established under
section 103 of the Enhanced Border Security and Visa
Entry Reform Act of 2002 (8 U.S.C. 1713).
(c) Investment of Amounts.--
(1) In general.--The Secretary of the Treasury shall invest
such portion of the Trust Fund as is not required to meet
current obligations in interest-bearing obligations of the
United States or in obligations guaranteed as to both principal
and interest by the United States.
(2) Interest and proceeds.--The interest on, and the
proceeds from the sale or redemption of, any obligations held
in the Trust Fund shall be credited to the Trust Fund as
discretionary offsetting collections, and shall form a part of
the Trust Fund.
(d) Use of Trust Fund.--
(1) In general.--Amounts in the Trust Fund, including
amounts described in subsection (c)(2), shall be made available
to the Secretary for the purposes described in paragraph (2)
only to the extent and in the amounts provided in advance in
appropriations Acts.
(2) Purposes.--Subject to paragraph (1), amounts in the
Trust Fund shall be made available for the following purposes:
(A) The construction of new United States ports of
entry.
(B) The expansion and improvement of existing
United States ports of entry infrastructure to
accommodate high volumes of commercial, vehicle, and
pedestrian traffic.
(C) The procurement of technology and supporting
infrastructure for United States ports of entry, and
related cargo and commercial inspection facilities, to
facilitate the inspection and processing of commercial,
vehicle, and pedestrian traffic.
(D) The facilitation of major repairs and
alterations of United States land ports of entry.
(E) Hiring U.S. Customs and Border Protection
officers, agricultural specialists, and professional
staff to support the trade and revenue mission of such
agency.
(3) Consultation.--
(A) In general.--The purposes described in
paragraph (2) shall be carried out by the Secretary, in
consultation with the Administrator of General
Services, the Chief of Engineers and Commanding General
of the United States Army Corps of Engineers, State,
local, and Tribal governments, organizations that
represent the interests of commerce, and relevant
advisory committees under chapter 10 of title 5, United
States Code.
(B) Consideration of transportation plans.--The
Secretary, in consultation with the Board established
pursuant to subsection (g)(1), shall consider regional
bi-national transportation master plans to carry out
the purposes described in paragraph (2).
(e) Limitations.--The Secretary, in coordination with the Secretary
of the Treasury and the Secretary of State, shall not seek to increase
fees as a measure to offset amounts deposited into the Trust Fund.
(f) Reports.--Not later than March 10 of each year, the Secretary,
in coordination with the Administrator of General Services, shall
submit to the Committees on Appropriations of the House of
Representatives and the Senate and the Board a report on the status of
the implementation of this section that includes a description of--
(1) how, and to which recipients, amounts have been
obligated and expended from the Trust Fund in the immediate
previous fiscal year;
(2) how, and to which recipients, amounts are planned to be
obligated or expended from the Trust Fund in the upcoming
fiscal year;
(3) the amount remaining in the Trust Fund; and
(4) the expected dates of completion for purposes described
in subsection (d).
(g) Land Port of Entry Modernization Oversight Board.--
(1) Establishment.--The Secretary shall establish an
oversight board to be known as the ``Land Port of Entry
Modernization Oversight Board'' (referred to in this section as
the ``Board'').
(2) Duties of board.--The Board shall--
(A) advise the Secretary with respect to the
prioritization of purposes described in subsection (d);
and
(B) review the expenditure of funds from the Trust
Fund.
(3) Membership.--
(A) In general.--The Board shall be composed of 9
members, as follows:
(i) The Secretary of Homeland Security or
the Secretary's designee.
(ii) The Administrator of General Services
or the Secretary's designee.
(iii) The Secretary of Commerce or the
Secretary's designee.
(iv) The Secretary of State or the
Secretary's designee.
(v) The Secretary of Transportation or the
Secretary's designee.
(vi) A representative of the United States
trucking industry, appointed by the Secretary
of Homeland Security.
(vii) A representative of the United States
land ports of entry or rail sectors located on
the southwest land border, appointed by the
Secretary of Homeland Security.
(viii) A representative of the United
States land ports of entry or rail sectors
located on the northern land border, appointed
by the Secretary of Homeland Security.
(ix) A representative of a State or local
transportation authority, appointed by the
Secretary of Homeland Security.
(B) Timing of appointments.--Each member appointed
under clauses (vi) and (vii) of subparagraph (A) shall
be made not later than 3 months after the date of the
enactment of this Act.
(C) Terms.--
(i) In general.--Each member appointed
under clauses (vi), (vii), and (viii) of
subparagraph (A) shall serve for a term of 2
years.
(ii) Vacancies.--Each member appointed to
fill a vacancy of a member appointed under
clauses (vi), (vii), and (viii) of subparagraph
(A), occurring before the expiration of the
term for which the member's predecessor was
appointed, shall be appointed only for the
remainder of that term. A member may serve
after the expiration of that term until a
successor has been appointed.
(D) Chairperson.--The Chairperson of the Board
shall be the Secretary of Homeland Security.
(4) Meeting.--
(A) Initial meeting.--The Board shall hold its
initial meeting not later than 30 days after the final
appointment of members under clauses (vi), (vii), and
(viii) of paragraph (3)(A).
(B) Meeting.--The Board shall meet not fewer than 1
time each year at the call of the Chairperson.
(5) Quorum.--Four members of the Board shall constitute a
quorum.
(6) Compensation.--
(A) Prohibition of compensation.--Except as
provided in paragraph (2), members of the Board may not
receive additional pay, allowances, or benefits by
reason of their service on the Board.
(B) Travel expenses.--Each member shall receive
travel expenses, including per diem in lieu of
subsistence, in accordance with applicable provisions
under subchapter I of chapter 57 of title 5, United
States Code.
(7) Report.--Not later January 31, 2024, and annually
thereafter, the Board shall submit to the Secretary a report
containing a detailed statement relating to--
(A) the prioritization of activities described in
subsection (d); and
(B) recommendations with respect to the expenditure
of funds from the Trust Fund.
(8) Nonapplicability of certain advisory committee rules.--
Notwithstanding section 1013 of title 5, United States Code,
the Board is authorized for a period commensurate with the LPOE
Modernization Trust Fund authorization.
(h) Customs Fees.--
(1) Land port of entry maintenance fees transfer.--Not
later than 60 days after the date of enactment of this Act, up
to $1,600,000,000 of the amount in the Customs User Fee Account
established pursuant to paragraph (1) of section 13031(f) of
the Consolidated Omnibus Budget Reconciliation Act of 1985 (19
U.S.C. 58c(f)(1)) and not otherwise appropriated shall be
transferred to the Trust Fund, subject to paragraph (3) of such
section 13031(f). Notwithstanding paragraph (2) of such section
13031(f), amounts transferred from the Customs User Fee Account
to the Trust Fund pursuant to the preceding sentence shall be
available only to the extent and in the amounts provided in
advance in appropriations Acts to carry out the purposes
specified in subsection (d)(2).
(2) Fees collected for express consignment operations.--
Section 13031(b)(9) of the Consolidated Omnibus Budget
Reconciliation Act of 1985 (19 U.S.C. 58c(b)(9)) is amended--
(A) in subparagraph (B)(iii)(III), to read as
follows:
``(III) The remaining 25 percent of the amount of
payments received under subparagraph (A)(ii) and clause
(ii) of this subparagraph shall be deposited into the
Land Port of Entry Modernization Trust Fund and shall
be available only to the extent and in the amounts
provided in advance in appropriations Acts to carry out
the purposes specified in section 2(d)(2) of the LPOE
Modernization Trust Fund Act;''; and
(B) in subparagraph (C), by adding at the end the
following:
``(iii) The terms `individual air waybill' and `bill of
lading' mean a document or other tracking mechanism
representing an individual shipment, that is not a consolidated
or master document--
``(I) having its own unique bill number, unique
tracking number, or other unique identifier;
``(II) assigned to a single ultimate consignee; and
``(III) with respect to which no lower tracking
unit exists.''.
(3) Surcharge of fees collected.--Notwithstanding any other
provision of law--
(A) the Secretary shall charge a surcharge of--
(i) $40 on the immigrant user fee
established under section 286(m) of the
Immigration and Naturalization Act (8 U.S.C.
1356(m)); and
(ii) $6 on the land border inspection fee
established under section 286(q) of such Act (8
U.S.C. 1356(q)); and
(B) the Secretary of State shall charge a surcharge
of $20 on the machine-readable visa fee established
under section 103 of the Enhanced Border Security and
Visa Entry Reform Act of 2002 (8 U.S.C. 1713).
(i) Definitions.--In this section:
(1) Appropriate congressional committees.--The term
``appropriate congressional committees'' means--
(A) the Committee on Homeland Security, the
Committee on Appropriations, the Committee on
Transportation and Infrastructure, and the Committee on
Ways and Means of the House of Representatives; and
(B) the Committee on Homeland Security and
Governmental Affairs, the Committee on Appropriations,
the Committee on Commerce, Science, and Transportation,
and the Committee on Finance of the Senate.
(2) Indian tribe.--The term ``Indian tribe'' has the
meaning given such term in section 4(e) of the Indian Self-
Determination Act (25 U.S.C. 5304(e)).
(3) Secretary.--Except as otherwise specified in this
section, the term ``Secretary'' means the Secretary of Homeland
Security.
(4) Tribal government.--The term ``Tribal government''
means the government of an Indian tribe.
<all>
</pre></body></html>
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118HR3136 | National Critical Capabilities Defense Act of 2023 | [
[
"D000216",
"Rep. DeLauro, Rosa L. [D-CT-3]",
"sponsor"
],
[
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"Rep. Pascrell, Bill, Jr. [D-NJ-9]",
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],
[
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"Rep. Fitzpatrick, Brian K. [R-PA-1]",
"cosponsor"
],
[
"C001072",
"Rep. Carson, Andre [D-IN-7]",
"cosponsor"
],
[... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3136 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3136
To require notification and review of United States investment in
foreign countries that may threaten the national security of the United
States, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Ms. DeLauro (for herself, Mr. Pascrell, and Mr. Fitzpatrick) introduced
the following bill; which was referred to the Committee on Ways and
Means
_______________________________________________________________________
A BILL
To require notification and review of United States investment in
foreign countries that may threaten the national security of the United
States, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``National Critical Capabilities
Defense Act of 2023''.
SEC. 2. PROTECTION OF NATIONAL CRITICAL CAPABILITIES.
The Trade Act of 1974 (19 U.S.C. 2101 et seq.) is amended by adding
at the end the following:
``TITLE X--PROTECTION OF NATIONAL CRITICAL CAPABILITIES
``SEC. 1001. DEFINITIONS.
``In this title:
``(1) Appropriate congressional committees.--The term
`appropriate congressional committees' means--
``(A) the Committee on Finance, the Committee on
Banking, Housing, and Urban Affairs, the Select
Committee on Intelligence, and the Committee on Foreign
Relations of the Senate; and
``(B) the Committee on Ways and Means, the
Committee on Financial Services, the Permanent Select
Committee on Intelligence, and the Committee on Foreign
Affairs of the House of Representatives.
``(2) Country of concern.--The term `country of concern'
means, subject to such regulations as may be prescribed in
accordance with section 1008, any country the government of
which is engaged in a long-term pattern or serious instances of
conduct significantly adverse to the national security of the
United States or the security and safety of United States
persons, such as the People's Republic of China, the Russian
Federation, Iran, North Korea, Cuba, and the regime of Nicolas
Maduro in Venezuela.
``(3) Covered activity.--
``(A) In general.--Subject to such regulations as
may be prescribed in accordance with section 1008, and
except as provided in subparagraph (B), the term
`covered activity' means any activity engaged in by a
United States person in a national critical
capabilities sector that involves--
``(i) an acquisition of an equity interest
or contingent equity interest, or monetary
capital contribution, in a covered foreign
entity, directly or indirectly, by contractual
commitment or otherwise, with the goal of
generating income or gain;
``(ii) an arrangement for an interest in
the short- or long-term debt obligations of a
covered foreign entity that includes government
rights that are characteristic of an equity
investment, management, or other important
rights;
``(iii) the establishment of a wholly owned
subsidiary in a country of concern, such as a
greenfield investment, for the purpose of
production, design, testing, manufacturing,
fabrication, development, or research related
to one or more national critical capabilities
sectors;
``(iv) the establishment of a joint venture
in a country of concern or with a covered
foreign entity for the purpose of production,
design, testing, manufacturing, fabrication,
development, or research involving one or more
national critical capabilities sectors, or
other contractual or other commitments
involving a covered foreign entity to jointly
research and develop new innovation, including
through the transfer of capital or intellectual
property or other business proprietary
information;
``(v) the acquisition by a United States
person with a covered foreign entity of--
``(I) operational cooperation, such
as through supply or support
arrangements;
``(II) the right to board
representation (as an observer, even if
limited, or as a member) or an
executive role (as may be defined
through regulation) in a covered
foreign entity;
``(III) the ability to direct or
influence such operational decisions as
may be defined through such
regulations;
``(IV) formal governance
representation in any operating
affiliate, like a portfolio company, of
a covered foreign entity; or
``(V) a new relationship to share
or provide business services, such as
but not limited to financial services,
marketing services, maintenance, or
assembly functions, related to a
national critical capabilities sector;
``(vi) any activity by a recipient or
beneficiary of financial assistance, including
grants, tax incentives, or other types of
funding, with respect to a covered foreign
entity or a country of concern;
``(vii) any activity with respect to a
covered foreign entity or a country of concern
by an entity that benefits from annual
procurement of more than an amount to be
determined in regulations prescribed in
accordance with section 1008 in goods or
services by a United States national security
agency; or
``(viii) except as provided in subparagraph
(B), any other transaction involving a country
of concern or with a covered foreign entity
defined in regulations prescribed in accordance
with section 1008.
``(B) Exceptions.--The term `covered activity' does
not include--
``(i) any transaction the value of which
the Committee determines is de minimis;
``(ii) any category of transactions that
the Committee determines is in the national
interest of the United States, as may be
defined in regulations prescribed in accordance
with section 1008; or
``(iii) any ordinary business transaction
as may be defined in such regulations.
``(4) Covered foreign entity.--
``(A) In general.--Subject to regulations
prescribed in accordance with section 1008, and except
as provided in subparagraph (B), the term `covered
foreign entity' means--
``(i) any entity that is incorporated in,
has a principal place of business in, or is
organized under the laws of a country of
concern;
``(ii) any entity the equity securities of
which are primarily traded on one or more
exchanges in a country of concern;
``(iii) any entity in which any covered
foreign entity holds, individually or in the
aggregate, directly or indirectly, an ownership
interest of greater than 50 percent; or
``(iv) any other entity that is not a
United States person and that meets such
criteria as may be specified by the Committee
in such regulations.
``(B) Exception.--The term `covered foreign entity'
does not include any entity described in subparagraph
(A) that can demonstrate that a majority of the equity
interest in the entity is ultimately owned by--
``(i) nationals of the United States; or
``(ii) nationals of such countries (other
than countries of concern) as are identified
for purposes of this subparagraph pursuant to
regulations prescribed in accordance with
section 1008.
``(5) National critical capabilities sector.--Subject to
regulations prescribed in accordance with section 1008, the
term `national critical capabilities sector' includes sectors
within the following areas, as specified in such regulations:
``(A) Semiconductor manufacturing and advanced
packaging.
``(B) Large-capacity batteries.
``(C) Critical minerals and materials.
``(D) Artificial intelligence.
``(E) Quantum information science and technology.
``(F) Active pharmaceutical ingredients.
``(G) Automobile manufacturing.
``(H) Any other sector as may be--
``(i) determined by the President to be a
national critical capabilities sector based on
the significance of the sector to the national
security of the United States; and
``(ii) included in such definition by the
President through such regulations.
``(6) Party.--The term `party', with respect to an
activity, has the meaning given that term in regulations
prescribed in accordance with section 1008.
``(7) United states.--The term `United States' means the
several States, the District of Columbia, and any territory or
possession of the United States.
``(8) United states person.--The term `United States
person' means--
``(A) an individual who is a citizen or national of
the United States or an alien lawfully admitted for
permanent residence in the United States; and
``(B) any corporation, partnership, or other entity
organized under the laws of the United States or the
laws of any jurisdiction within the United States.
``SEC. 1002. ADMINISTRATION OF UNITED STATES INVESTMENT NOTIFICATION,
REVIEW, AND PROHIBITION AUTHORITY.
``(a) Establishment of Committee on National Critical
Capabilities.--
``(1) In general.--The President shall establish an
interagency committee to administer this title, to be known as
the `Committee on National Critical Capabilities' (in this
title referred to as the `Committee').
``(2) Delegation.--The President may delegate the
requirement under paragraph (1), and all or any portion of the
authorities and functions under this title, to the head of an
Executive department (as defined in section 101 of title 5,
United States Code).
``(b) Membership.--The following agencies shall be represented on
the Committee:
``(1) The Office of the United States Trade Representative.
``(2) The Department of Commerce.
``(3) The Department of State.
``(4) The Department of the Treasury.
``(5) The Department of Homeland Security.
``(6) The Department of Defense.
``(7) The Office of Science and Technology Policy.
``(8) The Department of Justice.
``(9) The Department of Energy.
``(10) The Department of Health and Human Services.
``(11) The Department of Agriculture.
``(12) The Department of Labor.
``(13) The Office of the Director of National Intelligence.
``(14) Any other Federal agency the President determines
appropriate, generally, or on a case-by-case basis.
``(c) Designation as Voting Members.--The heads of the agencies
specified in subsection (b) shall be voting members of the Committee.
``(d) Chairperson.--The head of the Executive department to which
the President delegates authority under subsection (a) shall serve as
the chairperson of the Committee.
``(e) Consultations.--In carrying out the duties of the chairperson
of the Committee, the chairperson shall consult with the United States
Trade Representative, the Secretary of Defense, the Secretary of
Commerce, the Secretary of State, and the Secretary of the Treasury.
``SEC. 1003. MANDATORY NOTIFICATION OF COVERED ACTIVITIES; REVIEW AND
ACTIONS TO MITIGATE RISK.
``(a) Mandatory Notification.--
``(1) In general.--Subject to regulations prescribed in
accordance with section 1008, beginning on the date that is 90
days after such regulations take effect, a United States person
that plans to engage in a covered activity shall submit to the
Committee a complete written notification of the activity not
later than 90 days before the anticipated initiation date of
the activity.
``(2) Circulation of notification.--
``(A) In general.--The Committee shall, upon
receipt of a notification under paragraph (1), promptly
inspect the notification for completeness, and, if
complete, immediately circulate the notification to
each agency specified in section 1002(b).
``(B) Incomplete notifications.--If a notification
submitted under paragraph (1) is incomplete, the
Committee shall , unilaterally or at request of any
member of the Committee, promptly inform the United
States person that submits the notification that the
notification is not complete and provide an explanation
of relevant material respects in which the notification
is not complete.
``(C) Referral to attorney general.--If the
Committee has reason to believe that a covered activity
that is the subject of a notification submitted under
paragraph (1) may be prohibited under this title or
regulations prescribed in accordance with section 1008,
the President may refer the notification to the
Attorney General for such action as the Attorney
General may determine to be proper.
``(b) Review.--
``(1) In general.--Subject to regulations prescribed in
accordance with section 1008, the Committee may, beginning on
the date that is 180 days after the date on which such
regulations take effect, review a covered activity that is the
subject of a notification under subsection (a) to determine if
the activity poses a risk to the national security of the
United States, including by considering factors specified in
section 1004.
``(2) Notice of review.--Not later than 45 days after
receipt of a complete notification under subsection (a), the
Committee shall notify the United States person that submitted
the notification of the decision of the Committee with respect
to whether to initiate a review under paragraph (1) of the
covered activity that is the subject of the notification.
``(3) Initiation of unilateral review.--The Committee may
initiate a unilateral review under paragraph (1) of a covered
activity for which notification is not submitted under
subsection (a).
``(c) Mitigation.--
``(1) In general.--If the Committee has reason to believe
that a covered activity that is the subject of a notification
under subsection (a) or with respect to which the Committee
initiates a unilateral review under subsection (b)(3) poses a
risk to the national security of the United States, the
Committee may negotiate, enter into or impose, and enforce any
agreement or condition with any party to the covered activity
in order to mitigate any risk to the national security of the
United States that arises as a result of the covered activity.
``(2) Abandonment of activities.--If a party to a covered
activity has voluntarily chosen to abandon the activity, the
Committee may negotiate, enter into or impose, and enforce any
agreement or condition with any party to the covered activity
for purposes of effectuating such abandonment and mitigating
any risk to the national security of the United States that
arises as a result of the covered activity.
``(3) Agreements and conditions relating to completed
activities.--While the Committee is conducting a review of a
covered activity under subsection (b), the Committee may
negotiate, enter into or impose, and enforce any agreement or
condition with any party to the covered activity in order to
mitigate any interim risk to the national security of the
United States that may arise as a result of the covered
activity until such time that the Committee has completed
action with respect to the covered activity under this title.
``(4) Treatment of outdated agreements or conditions.--The
Committee shall periodically review the appropriateness of an
agreement or condition imposed under paragraph (1), (2), or (3)
in mitigating the risk identified under subsection (b)(1) and
terminate, phase out, or otherwise amend the agreement or
condition if a risk no longer requires mitigation through the
agreement or condition.
``(5) Jurisdiction.--The provisions of section 706(b) shall
apply to any mitigation agreement entered into or condition
imposed under paragraph (1), (2), or (3).
``(d) Unilateral Action by the Committee To Mitigate Risk Posed by
a Covered Activity.--
``(1) In general.--Subject to paragraphs (2) and (4), the
Committee may take such action for such time as the Committee
considers appropriate to address any risk to the national
security of the United States posed by a covered activity that
is the subject of a notification under subsection (a) or with
respect to which the Committee initiates a unilateral review
under subsection (b)(3), including--
``(A) approving the covered activity subject to a
mitigation agreement entered into or conditions imposed
under subsection (c); or
``(B) if the Committee attempts to mitigate the
risk under subsection (c) and determines that
mitigation is inadequate to protect the national
security of the United States, prohibiting the covered
activity.
``(2) Seeking alternative enforcement.--The Committee shall
consider other existing measures to address any risk described
in paragraph (1) before taking any action under this subsection
with respect to the covered activity.
``(3) Announcement by committee.--Not later than 90 days
after the date on which the Committee initiates a review under
subsection (b), the Committee shall announce the decision of
the Committee with respect to whether the Committee plans to
take action pursuant to paragraph (1).
``(4) Findings by committee.--The Committee may exercise
the authority under paragraph (1) with respect to a covered
activity only if the Committee finds that--
``(A) there is credible evidence that leads the
Committee to believe that the covered activity poses a
risk to the national security of the United States; and
``(B) provisions of law (other than this subsection
and the International Emergency Economic Powers Act (50
U.S.C. 1701 et seq.)) do not, in the judgment of the
Committee provide adequate and appropriate authority
for the Committee to protect the national security with
respect to the covered activity.
``(5) Factors to be considered.--For purposes of
determining whether to take action under paragraph (1), the
Committee shall consider, among other factors, each of the
factors described in section 1004, as appropriate.
``(6) Public disclosure.--The Committee shall publish in
the Federal Register a notice of each exercise of the authority
under paragraph (1).
``(e) Authority To Prohibit and Regulate Covered Activities.--
``(1) Authority.--
``(A) In general.--Subject to regulations
prescribed in accordance with section 1008, and except
as provided by paragraph (2), the Committee may, on or
after the date of the enactment of this title, prohibit
or regulate any covered activity or category of covered
activities by any person, or with respect to any
property, subject to the jurisdiction of the United
States.
``(B) Criteria.--In exercising the authority under
subparagraph (A) with respect to a covered activity or
category of covered activities, the President may use--
``(i) criteria based on--
``(I) the nature of the covered
activity or category of covered
activities;
``(II) the nature of the covered
foreign entity involved in the covered
activity or category of covered
activities, including the country of
concern associated with the covered
foreign entity; or
``(III) the nature of the national
critical capabilities sector involved
in the covered activity or category of
covered activities; or
``(ii) such other criteria as the Committee
determines may result in a covered activity or
category of covered activities posing a risk to
the national security of the United States.
``(2) Exceptions.--The Committee, pursuant to regulations
prescribed in accordance with section 1008--
``(A) may not prohibit under paragraph (1) a
covered activity or category of covered activities for
the conduct of the official business of the Federal
Government, the United Nations, or international
financial institutions or multilateral development
banks (including their specialized agencies, programs,
funds, and related organizations), or by employees,
grantees, or contractors thereof; and
``(B) may authorize orders, directives, or licenses
to permit a covered activity otherwise prohibited under
paragraph (1), as the Committee determines appropriate.
``(f) Confidentiality of Information.--
``(1) In general.--Except as provided in paragraph (2), any
information or documentary material and any information or
materials derived from such information or documentary
materials filed with the Committee pursuant to this section
shall be exempt from disclosure under section 552 of title 5,
United States Code, and no such information or documentary
material may be made public.
``(2) Exceptions.--The exemption from disclosure provided
by paragraph (1) shall not prevent the disclosure of the
following:
``(A) Information relevant to any administrative or
judicial action or proceeding.
``(B) Information to Congress or any duly
authorized committee or subcommittee of Congress.
``(C) Information important to the national
security analysis or actions of the President to any
domestic governmental entity, or to any foreign
governmental entity of an ally or partner of the United
States, under the exclusive direction and authorization
of the President, only to the extent necessary for
national security purposes, and subject to appropriate
confidentiality and classification requirements.
``(D) Information that the parties have consented
to be disclosed to third parties.
``(g) Recordkeeping.--In taking action under this section with
respect to a covered activity, the Committee may require any person--
``(1) to keep a full record of, and to furnish under oath,
in the form of reports or otherwise, complete information
relative to the covered activity before, during, or after the
completion of the covered activity, or as may be otherwise
necessary to enforce the provisions of this title; and
``(2) to produce any books of account, records, contracts,
letters, memoranda, or other papers relative to the covered
activity in the custody or control of the person.
``SEC. 1004. FACTORS TO BE CONSIDERED.
``The Committee, in reviewing and making a determination with
respect to a covered activity under section 1003, shall consider any
factors relating to the national security of the United States that the
Committee considers relevant, which may include--
``(1) the economic, intelligence, military, health, or
agricultural interests of the United States;
``(2) the history of distortive or predatory trade-related
practices in each country in which a covered activity occurs;
``(3) control and beneficial ownership (as determined in
accordance with section 847 of the National Defense
Authorization Act for Fiscal Year 2020 (Public Law 116-92; 10
U.S.C. 4819 note)) of each covered foreign entity that is a
party to the covered activity;
``(4) the impact on the domestic industry and resulting
resiliency, including the domestic human capital and supply
chains, taking into consideration any pattern of foreign
investment in the domestic industry;
``(5) whether the covered activity could, directly or
indirectly, support, enhance, or enable the capabilities of a
country of concern or a covered foreign entity; and
``(6) any additional national security factors identified
in regulations prescribed in accordance with section 1008.
``SEC. 1005. SUPPLY CHAIN SENSITIVITIES.
``The Committee shall determine the sensitivities and risks for
sourcing of goods, materials, and technologies needed for national
critical capabilities sectors in the United States, in accordance with
the following:
``(1) The sourcing of least concern shall be for goods,
materials, and technologies sourced, and supply chains housed,
in whole within countries that are allies of the United States.
``(2) The sourcing of greater concern shall be for goods,
materials, and technologies sourced, and supply chains housed
in part within countries of concern or from a covered foreign
entity but for which substitute production is available from
elsewhere at required scale to meet the needs of the United
States, including in terms of surge capacity.
``(3) The sourcing of greatest concern shall be for goods,
materials, and technologies sourced, and supply chains housed,
wholly or in part, in countries of concern or from a covered
foreign entity and for which substitute production is
unavailable elsewhere at required scale.
``SEC. 1006. REPORTING REQUIREMENTS.
``(a) In General.--Not later than 360 days after the date on which
the regulations prescribed under section 1008 take effect, and not less
frequently than every 90 days thereafter, the Committee shall submit to
the appropriate congressional committees a report--
``(1) on the determination under section 1005 with respect
to sensitivities and risks for sourcing of goods, materials,
and technologies described in that section;
``(2) providing, for the year preceding submission of the
report--
``(A) a summary of the notifications received under
subsection (a) of section 1003 and reviews conducted
pursuant to such notifications;
``(B) a summary of reviews initiated under
paragraph (1) or (3) of subsection (b) of that section;
``(C) a description of reviews during which the
Committee determined no action was required; and
``(D) a summary of--
``(i) mitigation agreements entered into
and conditions imposed under subsection (c) of
that section; and
``(ii) other existing, relevant mitigation
measures that could be used to mitigate the
risk; and
``(3) assessing the overall impact of such reviews on
national critical capabilities sectors, which may include
recommendations on--
``(A) expansion of Federal programs to support or
protect the production or supply of national critical
capabilities sectors in the United States, including
the potential of existing legal authorities to address
any related national security concerns;
``(B) investments to enhance national critical
capabilities sectors and reduce dependency on countries
of concern; and
``(C) the continuation, expansion, or modification
of the Committee.
``(b) Report on Sectors.--Not less frequently than annually, the
Committee shall submit to the appropriate congressional committees a
report describing--
``(1) the sectors determined by the President to be
national critical capabilities sectors under section
1001(5)(H); and
``(2) the reasons why each such sector was determined to be
a national critical capabilities sector.
``(c) Form of Report.--Each report required by this section shall
be submitted in unclassified form, but may include a classified annex.
``SEC. 1007. PENALTIES AND ENFORCEMENT.
``(a) Penalties.--
``(1) Unlawful acts.--Subject to regulations prescribed in
accordance with section 1008, it shall be unlawful--
``(A) to engage in a covered activity prohibited
under this title or pursuant to such regulations;
``(B) to fail to submit a notification under
subsection (a) of section 1003 with respect to a
covered activity or to submit other information as
required by the Committee;
``(C) to make a material misstatement or to omit a
material fact in any information submitted to the
Committee under this title;
``(D) to breach or violate a mitigation agreement
entered into or condition imposed under subsection (c)
of that section; or
``(E) to engage in any activity that evades or
avoids, has the purpose of evading or avoiding, causes
a violation of, or attempts to violate a prohibition
under this title or pursuant to such regulations.
``(2) Civil penalties.--A civil penalty may be imposed on
any person who commits an unlawful act described in paragraph
(1) in an amount not to exceed the greater of--
``(A) $250,000; or
``(B) an amount that is twice the amount of the
covered activity that is the basis of the violation
with respect to which the penalty is imposed.
``(b) Enforcement.--The President may direct the Attorney General
to seek appropriate relief, including divestment relief, in the
district courts of the United States, in order to implement and enforce
this title.
``SEC. 1008. REQUIREMENT FOR REGULATIONS.
``(a) In General.--Not later than 360 days after the date of the
enactment of this title, the Committee shall finalize regulations to
carry out this title.
``(b) Elements.--Regulations prescribed to carry out this title
shall include specific examples of the types of--
``(1) activities that will be considered to be covered
activities; and
``(2) the specific sectors and subsectors that may be
considered to be national critical capabilities sectors, at the
discretion of the Committee.
``(c) Requirements for Certain Regulations.--
``(1) In general.--The Committee shall prescribe
regulations further defining the terms used in this title,
including `covered activity', `covered foreign entity', and
`party', in accordance with subchapter II of chapter 5 and
chapter 7 of title 5, United States Code (commonly known as the
`Administrative Procedure Act').
``(2) Modifications to countries of concern.--The Committee
shall prescribe regulations with respect to modifying the
definition of the term `country of concern'. Such regulations
shall establish a process for removing from the definition of
that term a country that no longer meets the criteria under
section 1001(2).
``(d) Public Participation in Rulemaking.--The provisions of
section 709 shall apply to any regulations issued under this title.
``SEC. 1009. JUDICIAL REVIEW.
``(a) In General.--Except as provided in this section, and
notwithstanding any other provision of law, an action taken under this
title, or any action taken by an Executive department (as defined in
section 101 of title 5, United States Code) to implement such an
action, shall not be subject to administrative review or judicial
review, including bid protests before the Government Accountability
Office or in any Federal court.
``(b) Civil Actions.--A civil action challenging an action or
finding under this title may be brought only in the United States Court
of Appeals for the District of Columbia Circuit. Not later than 60 days
after a party is notified of an action by the Committee under this
title, the party may file a petition for judicial review in the United
States Court of Appeals for the District of Columbia claiming that the
action is unlawful.
``(c) Standard of Review.--The court shall hold an action unlawful
in response to a petition that the court finds to be arbitrary,
capricious, an abuse of discretion, or otherwise not in accordance with
law.
``(d) Exclusive Jurisdiction and Remedy.--The United States Court
of Appeals for the District of Columbia Circuit shall have exclusive
jurisdiction over claims arising under this title against the United
States, any United States department or agency, or any component or
official of any such department or agency, subject to review by the
Supreme Court of the United States under section 1254 of title 28,
United States Code. A determination by the court under this section
shall be the exclusive judicial remedy for any claim described in this
section against the United States, any United States department or
agency, or any component or official of any such department or agency.
``(e) Administrative Record and Procedures.--
``(1) In general.--The procedures described in this
subsection shall apply to the review of a petition under this
section.
``(2) Administrative record.--
``(A) Filing of record.--The United States shall
file with the court an administrative record, which
shall consist of the information that the Committee
relied upon in taking an action under this title.
``(B) Unclassified, nonprivileged information.--All
unclassified information contained in the
administrative record that is not otherwise privileged
or subject to statutory protections shall be provided
to the petitioner with appropriate protections for any
privileged or confidential trade secrets and commercial
or financial information.
``(C) In camera and ex parte.--The following
information may be included in the administrative
record and shall be submitted only to the court ex
parte and in camera:
``(i) Classified information.
``(ii) Sensitive security information, as
defined by section 1520.5 of title 49, Code of
Federal Regulations (or any successor
regulation).
``(iii) Privileged law enforcement
information.
``(iv) Information obtained or derived from
any activity authorized under the Foreign
Intelligence Surveillance Act of 1978 (50
U.S.C. 1801 et seq.), except that, with respect
to such information, subsections (c), (e), (f),
(g), and (h) of section 106 (50 U.S.C. 1806),
subsections (d), (f), (g), (h), and (i) of
section 305 (50 U.S.C. 1825), subsections (c),
(e), (f), (g), and (h) of section 405 (50
U.S.C. 1845), and section 706 (50 U.S.C. 1881e)
of that Act shall not apply.
``(v) Information subject to privilege or
protections under any other provision of law.
``(D) Under seal.--Any information that is part of
the administrative record filed ex parte and in camera
under subparagraph (C), or cited by the court in any
decision, shall be treated by the court consistent with
the provisions of this paragraph and shall remain under
seal and preserved in the records of the court to be
made available consistent with those provisions in the
event of further proceedings. In no event shall such
information be released to the petitioner or as part of
the public record.
``(f) Return.--After the expiration of the time to seek further
review, or the conclusion of further proceedings, the court shall
return the administrative record, including any and all copies, to the
United States.
``(g) Rule of Construction.--Nothing in this section shall be
construed as limiting, superseding, or preventing the invocation of,
any privileges or defenses that are otherwise available at law or in
equity to protect against the disclosure of information.
``(h) Definitions.--In this subsection, the term `classified
information'--
``(1) has the meaning given that term in section 1(a) of
the Classified Information Procedures Act (18 U.S.C. App.); and
``(2) includes--
``(A) any information or material that has been
determined by the United States Government pursuant to
an Executive order, statute, or regulation to require
protection against unauthorized disclosure for reasons
of national security; and
``(B) any Restricted Data, as defined in section 11
of the Atomic Energy Act of 1954 (42 U.S.C. 2014).
``SEC. 1010. MULTILATERAL ENGAGEMENT AND COORDINATION.
``(a) In General.--The President, in coordination with the United
States Trade Representative, the Secretary of Commerce, the Secretary
of State, and the Secretary of the Treasury, shall--
``(1) in coordination and consultation with relevant
Federal agencies, conduct bilateral and multilateral engagement
with the governments of countries that are allies and partners
of the United States to secure coordination of protocols and
procedures with respect to covered activities with countries of
concern and covered foreign entities; and
``(2) upon adoption of protocols and procedures described
in paragraph (1), work with those governments to establish
mechanisms for sharing information, including trends, with
respect to such activities.
``(b) Strategy for Development of Outbound Review Mechanisms.--The
Committee, in consultation with the Attorney General, shall--
``(1) develop a strategy to work with countries that are
allies and partners of the United States to develop mechanisms
comparable to this title for the review of covered activities;
and
``(2) provide technical assistance to those countries with
respect to the development of those mechanisms.
``SEC. 1011. AUTHORIZATION OF APPROPRIATIONS.
``(a) In General.--There are authorized to be appropriated such
sums as may be necessary to carry out this title, including to provide
outreach to industry and persons affected by this title.
``(b) Hiring Authority.--The head of any agency specified in
section 1002(b) may appoint, without regard to the provisions of
sections 3309 through 3318 of title 5, United States Code, candidates
directly to positions in the competitive service (as defined in section
2102 of that title) in that agency. The primary responsibility of
individuals in positions authorized under the preceding sentence shall
be to administer this title.
``SEC. 1012. RULE OF CONSTRUCTION WITH RESPECT TO FREE AND FAIR
COMMERCE.
``Nothing in this title may be construed to restrain or deter
foreign investment in the United States, United States investment
abroad, or trade in goods or services, if such investment and trade do
not pose a risk to the national security of the United States.''.
<all>
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118HR3137 | American Isotope Security Act | [
[
"D000032",
"Rep. Donalds, Byron [R-FL-19]",
"sponsor"
],
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"Rep. Posey, Bill [R-FL-8]",
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[
"T000478",
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3137 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3137
To require the Secretary of Energy to submit a report on radioactive
isotope dependency and how advanced nuclear reactors can reduce such
dependency.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Donalds (for himself, Mr. Posey, and Ms. Tenney) introduced the
following bill; which was referred to the Committee on Energy and
Commerce
_______________________________________________________________________
A BILL
To require the Secretary of Energy to submit a report on radioactive
isotope dependency and how advanced nuclear reactors can reduce such
dependency.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``American Isotope Security Act''.
SEC. 2. REPORT ON RADIOACTIVE ISOTOPES.
(a) In General.--Not later than 180 days after the date of
enactment of this Act, the Secretary of Energy shall submit to the
Committee on Energy and Commerce of the House of Representatives, the
Committee on Science, Space, and Technology of the House of
Representatives, the Committee on Energy and Natural Resources of the
Senate, and the Committee on Environment and Public Works of the Senate
a report on radioactive isotopes that includes--
(1) a list of each radioactive isotope that can only be
produced by a foreign government or foreign non-government
person determined to be a foreign adversary under section 7.4
of title 15, Code of Federal Regulations, or any successor
regulation;
(2) a description of each radioactive isotope listed under
paragraph (1), including how such radioactive isotope is
produced and the potential uses of such radioactive isotope;
(3) an examination of how reliance on any radioactive
isotope listed under paragraph (1) may impact the national
security of the United States; and
(4) policy recommendations for bolstering production of
radioactive isotopes in the United States, including
recommendations relating to the advancement of advanced nuclear
reactors and other technologies, including spent nuclear fuel
recycling technologies, that may increase the potential to
produce radioactive isotopes.
(b) Definition.--In this section, the term ``radioactive isotope''
means any--
(1) critical radioactive and stable isotope (as defined in
section 311(a) of the Department of Energy Research and
Innovation Act (42 U.S.C. 18649(a)); or
(2) medical isotope (as defined in section 134 of the
Atomic Energy Act of 1954 (42 U.S.C. 2160d)).
<all>
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118HR3138 | To amend the Elementary and Secondary Education Act of 1965 to provide for additional activities, resources, and data collection with respect to English learners, and for other purposes. | [
[
"E000297",
"Rep. Espaillat, Adriano [D-NY-13]",
"sponsor"
],
[
"N000147",
"Del. Norton, Eleanor Holmes [D-DC-At Large]",
"cosponsor"
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[
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"Rep. Clarke, Yvette D. [D-NY-9]",
"cosponsor"
],
[
"S001156",
"Rep. Sánchez, Linda T. [D-CA-38]",
"cospo... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3138 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3138
To amend the Elementary and Secondary Education Act of 1965 to provide
for additional activities, resources, and data collection with respect
to English learners, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Espaillat (for himself, Ms. Norton, Ms. Clarke of New York, Ms.
Sanchez, Ms. Velazquez, Mr. McGovern, and Mr. Connolly) introduced the
following bill; which was referred to the Committee on Education and
the Workforce
_______________________________________________________________________
A BILL
To amend the Elementary and Secondary Education Act of 1965 to provide
for additional activities, resources, and data collection with respect
to English learners, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. ESEA AMENDMENTS.
(a) Improving the Academic Achievement of the Disadvantaged.--
Section 1111(h)(1)(C) of the Elementary and Secondary Education Act of
1965 (20 U.S.C. 6311(h)(1)(C)) is amended--
(1) by redesignating clause (xiv) as clause (xv); and
(2) by inserting after clause (xiii) the following:
``(xiv) Statistics on the racial, ethnic,
gender, and linguistic diversity of the
elementary and secondary school teachers
working in the State.''.
(b) Language Instruction for English Learners and Immigrant
Children and Youth.--
(1) Purposes of the english language acquisition, language
enhancement, and academic achievement act.--Section 3102(2) of
the Elementary and Secondary Education Act of 1965 (20 U.S.C.
6812(2)) is amended to read as follows:
``(2) to assist all English learners, including immigrant
children and youth--
``(A) to achieve at high levels in academic
subjects so that all English learners can meet the same
challenging State academic standards that all children
are expected to meet; and
``(B) to the extent practicable, in a manner that
does not separate English learners from students who
are not English learners;''.
(2) State and specially qualified agency plans.--Section
3113(b) of the Elementary and Secondary Education Act of 1965
(20 U.S.C. 6823(b)(8)) is amended--
(A) in paragraph (7), by striking ``and'' at the
end;
(B) in paragraph (8)(B), by striking the period at
the end and inserting ``; and''; and
(C) by adding at the end the following:
``(9) describe how the agency will monitor the progress of
students who are former English learners and ensure that such
students are continuing to meet the challenging State academic
standards.''.
(3) Authorized subgrantee activities.--Section 3115(d) of
the Elementary and Secondary Education Act of 1965 (20 U.S.C.
6825(d)) is amended--
(A) in paragraph (6)--
(i) in subparagraph (A), by striking
``and'' at the end;
(ii) in subparagraph (B), by striking the
period at the end and inserting a semicolon;
and
(iii) by adding at the end the following:
``(C) to increase the access of English learners
and immigrant children and youth and their parents to
legal, educational, and financial resources and social
services; and
``(D) to implement best practices aligned with
evidence-based research to uplift English learners and
immigrant children and youth.'';
(B) in paragraph (7)--
(i) by striking ``and'' at the end of
subparagraph (B);
(ii) by redesignating subparagraph (C) as
subparagraph (D);
(iii) in subparagraph (D), as so
redesignated, by striking ``and (B)'' and
inserting ``, (B), and (C)''; and
(iv) by inserting after subparagraph (B)
the following:
``(C) culturally competent and responsive training
to educators, school administrators, counselors, social
workers, and psychologists with respect to how to best
support English learners and immigrant children and
youth; and'';
(C) by redesignating paragraph (9) as paragraph
(10); and
(D) by inserting after paragraph (8) the following:
``(9) Supporting and advocating for the development of
policies that improve educational outcomes for English learners
and immigrant children and youth, regardless of immigration
status.''.
(4) Activities by agencies experiencing substantial
increases in immigrant children and youth.--Section
3115(e)(1)(G) of the Elementary and Secondary Education Act of
1965 (20 U.S.C. 6825(e)(1)(G)) is amended by striking the
period at the end and inserting ``, including services that
provide for the assessment of State and local laws (including
with respect to immigration and education) that impact English
learners and immigrant children and youth and the notification
of such parents and families of such laws.''.
(5) Accountability and administration.--Section 3121(a) of
the Elementary and Secondary Education Act of 1965 (20 U.S.C.
6841(a)) is amended--
(A) in paragraph (2), by inserting ``, ethnicity,
race, and native language'' before the semicolon;
(B) in paragraph (3), by inserting ``in the
aggregate and disaggregated, at a minimum, by English
learners with a disability, ethnicity, race, and native
language'' before the semicolon;
(C) in paragraph (4), by inserting ``in the
aggregate and disaggregated, at a minimum, by English
learners with a disability, ethnicity, race, and native
language'' before the semicolon;
(D) in paragraph (5), by inserting ``, ethnicity,
race, and native language'' before the semicolon; and
(E) in paragraph (6), by inserting ``in the
aggregate and disaggregated, at a minimum, by English
learners with a disability, ethnicity, race, and native
language'' before the semicolon.
<all>
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118HR3139 | ACRE Act of 2023 | [
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... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3139 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3139
To amend the Internal Revenue Code of 1986 to exclude from gross income
interest received on certain loans secured by rural or agricultural
real property.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Feenstra (for himself and Mr. Nickel) introduced the following
bill; which was referred to the Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to exclude from gross income
interest received on certain loans secured by rural or agricultural
real property.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Access to Credit for our Rural
Economy Act of 2023'' or as the ``ACRE Act of 2023''.
SEC. 2. EXCLUSION OF INTEREST ON LOANS SECURED BY RURAL OR AGRICULTURAL
REAL PROPERTY.
(a) In General.--Part III of subchapter B of chapter 1 of the
Internal Revenue Code of 1986 is amended by inserting after section
139I the following new section:
``SEC. 139J. INTEREST ON LOANS SECURED BY RURAL OR AGRICULTURAL REAL
PROPERTY.
``(a) In General.--Gross income shall not include interest received
by a qualified lender on any qualified real estate loan.
``(b) Qualified Lender.--For purposes of this section, the term
`qualified lender' means--
``(1) any bank or savings association the deposits of which
are insured under the Federal Deposit Insurance Act (12 U.S.C.
1811 et seq.), and
``(2) any entity wholly owned, directly or indirectly, by a
company that is treated as a bank holding company for purposes
of section 8 of the International Banking Act of 1978 (12
U.S.C. 3106) if--
``(A) such entity is organized, incorporated, or
established under the laws of the United States or any
State of the United States, and
``(B) the principal place of business of such
entity is in the United States.
``(c) Qualified Real Estate Loan.--For purposes of this section--
``(1) In general.--The term `qualified real estate loan'
means any loan--
``(A) secured by rural or agricultural real estate
or by a leasehold mortgage (with a status as a lien) on
rural or agricultural real estate, and
``(B) in the case of any loan with respect to
single family residence described in paragraph (2)(B)--
``(i) the proceeds of which are used to
purchase or improve such residence, and
``(ii) the principal of which (when added
to the principal of all other such loans with
respect to such residence) does not (as of the
time the interest income on such loan is
accrued) exceed $750,000.
For purposes of the preceding sentence, the determination of
whether property securing such loan is rural or agricultural
real estate shall be made as of the time the interest income on
such loan is accrued.
``(2) Rural or agricultural real estate.--The term `rural
or agricultural real estate' means--
``(A) any real property which is substantially used
for the production of one or more agricultural
products,
``(B) any single family residence--
``(i) which is the principal residence
(within the meaning of section 121) of its
occupant, and
``(ii) which is located in a rural area
within the meaning of section 1.11(b)(3) of the
Agricultural Credit Act of 1987 (12 U.S.C.
2019(b)(3)), and
``(C) any aquaculture facility.
``(3) Aquaculture facility.--The term `aquaculture
facility' means any land, structure, or other appurtenance that
is used for aquaculture (including any hatchery, rearing pond,
raceway, pen, or incubator) that is located in any State.
``(d) Coordination With Section 265.--Qualified real estate loans
shall be treated as obligations described in section 265(a)(2) the
interest on which is wholly exempt from the taxes imposed by this
subtitle.''.
(b) Clerical Amendment.--The table of sections for such subpart III
is amended by inserting after the item relating to section 139I the
following new item:
``Sec. 139J. Interest on loans secured by rural or agricultural real
property.''.
(c) Effective Date.--The amendments made by this section shall
apply to taxable years beginning after the date of the enactment of
this Act.
<all>
</pre></body></html>
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... | <p><b>Fighting Oppression until the Reign of Castro Ends Act or the FORCE Act</b></p> <p>This bill prohibits removing Cuba from the list of state sponsors of terrorism until the President makes the determination that a transition government in Cuba is in power.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 314 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 314
To prohibit the removal of Cuba from the list of state sponsors of
terrorism until Cuba satisfies certain conditions, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 12, 2023
Ms. Salazar (for herself, Mr. McCaul, Ms. Malliotakis, Mr. Buck, Mr.
Dunn of Florida, Mrs. Bice, Mr. Diaz-Balart, Mr. Gimenez, Miss
Gonzalez-Colon, Mr. Rutherford, Mr. Waltz, Mr. Owens, Mr. Issa, Mr.
Womack, Mrs. Cammack, Mr. Mooney, and Mrs. Spartz) introduced the
following bill; which was referred to the Committee on Foreign Affairs
_______________________________________________________________________
A BILL
To prohibit the removal of Cuba from the list of state sponsors of
terrorism until Cuba satisfies certain conditions, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Fighting Oppression until the Reign
of Castro Ends Act'' or the ``FORCE Act''.
SEC. 2. PROHIBITION ON REMOVAL.
(a) In General.--Notwithstanding any other provision of law,
neither the President nor the Secretary of State may remove Cuba from
the list of state sponsors of terrorism until the President makes the
determination described in section 205 of the Cuban Liberty and
Democratic Solidarity (LIBERTAD) Act of 1996 (22 U.S.C. 6065).
(b) Definition.--In this section, the term ``state sponsor of
terrorism'' means a country the government of which the Secretary of
State determines has repeatedly provided support for international
terrorism pursuant to--
(1) section 1754(c)(1)(A) of the Export Control Reform Act
of 2018 (50 U.S.C. 4318(c)(1)(A));
(2) section 620A of the Foreign Assistance Act of 1961 (22
U.S.C. 2371);
(3) section 40 of the Arms Export Control Act (22 U.S.C.
2780); or
(4) any other provision of law.
<all>
</pre></body></html>
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118HR3140 | Justice for Victims of Open Borders Act of 2023 | [
[
"F000450",
"Rep. Foxx, Virginia [R-NC-5]",
"sponsor"
],
[
"F000246",
"Rep. Fallon, Pat [R-TX-4]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3140 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3140
To amend the Victims of Crime Act of 1984 with respect to crime victim
compensation program eligibility, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Ms. Foxx (for herself and Mr. Fallon) introduced the following bill;
which was referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To amend the Victims of Crime Act of 1984 with respect to crime victim
compensation program eligibility, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Justice for Victims of Open Borders
Act of 2023''.
SEC. 2. CRIME VICTIM COMPENSATION.
Section 1403(b) of the Victims of Crime Act of 1984 (34 U.S.C.
20102) is amended--
(1) in paragraph (1), by striking ``is operated by a State
and'';
(2) by redesignating paragraphs (2) through (10) as
paragraphs (4) though (12), respectively; and
(3) by inserting after paragraph (1) the following:
``(2) such program is operated by a State for which the
State's Attorney General has certified to the Attorney General
that the program--
``(A) prioritizes making payments to victims of
crimes committed by an alien who was unlawfully present
in the United States at the time of the commission of
the crime; and
``(B) does not prioritize making payments to
victims of crimes committed by a person whose status
under the immigration laws (as such term is defined in
section 101 of the Immigration and Nationality Act) is
unknown;
``(3) such program does not provide compensation to any
alien unlawfully present in the United States;''.
<all>
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118HR3141 | Targeting Child Predators Act of 2023 | [
[
"F000478",
"Rep. Fry, Russell [R-SC-7]",
"sponsor"
],
[
"E000235",
"Rep. Ezell, Mike [R-MS-4]",
"cosponsor"
],
[
"J000304",
"Rep. Jackson, Ronny [R-TX-13]",
"cosponsor"
],
[
"H001077",
"Rep. Higgins, Clay [R-LA-3]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3141 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3141
To amend title 18, United States Code, to provide a certification
process for the issuance of nondisclosure requirements accompanying
certain administrative subpoenas, to provide for judicial review of
such nondisclosure requirements, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Fry (for himself and Mr. Ezell) introduced the following bill;
which was referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To amend title 18, United States Code, to provide a certification
process for the issuance of nondisclosure requirements accompanying
certain administrative subpoenas, to provide for judicial review of
such nondisclosure requirements, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Targeting Child Predators Act of
2023''.
SEC. 2. NONDISCLOSURE OF ADMINISTRATIVE SUBPOENAS.
Section 3486(a) of title 18, United States Code, is amended--
(1) by striking ``the Secretary of the Treasury'' each
place it appears and inserting ``the Secretary of Homeland
Security'';
(2) in paragraph (5), by striking ``ordered by a court'';
and
(3) in paragraph (6)--
(A) in subparagraph (A), by striking ``A United
States'' and inserting ``Except as provided in
subparagraph (D), a United States''; and
(B) by adding at the end the following:
``(D)(i)(I) If a subpoena issued under this section as described in
paragraph (1)(A)(i)(II) is accompanied by a certification under
subclause (II) and notice of the right to judicial review under clause
(iii), no recipient of such a subpoena shall disclose to any person
that the Federal official who issued the subpoena has sought or
obtained access to information or records under this section, for a
period of 180 days.
``(II) The requirements of subclause (I) shall apply if the Federal
official who issued the subpoena certifies that the absence of a
prohibition of disclosure under this subsection may result in--
``(aa) endangering the life or physical safety of an
individual;
``(bb) flight from prosecution;
``(cc) destruction of or tampering with evidence;
``(dd) intimidation of potential witnesses; or
``(ee) otherwise seriously jeopardizing an investigation.
``(ii)(I) A recipient of a subpoena under this section as described
in paragraph (1)(A)(i)(II) may disclose information otherwise subject
to any applicable nondisclosure requirement to--
``(aa) those persons to whom disclosure is necessary in
order to comply with the request;
``(bb) an attorney in order to obtain legal advice or
assistance regarding the request; or
``(cc) other persons as permitted by the Federal official
who issued the subpoena.
``(II) A person to whom disclosure is made under subclause (I)
shall be subject to the nondisclosure requirements applicable to a
person to whom a subpoena is issued under this section in the same
manner as the person to whom the subpoena was issued.
``(III) Any recipient that discloses to a person described in
subclause (I) information otherwise subject to a nondisclosure
requirement shall notify the person of the applicable nondisclosure
requirement.
``(IV) At the request of the Federal official who issued the
subpoena, any person making or intending to make a disclosure under
item (aa) or (cc) of subclause (I) shall identify to the individual
making the request under this clause the person to whom such disclosure
will be made or to whom such disclosure was made prior to the request.
``(iii)(I) A nondisclosure requirement imposed under clause (i)
shall be subject to judicial review under section 3486A.
``(II) A subpoena issued under this section as described in
paragraph (1)(A)(i)(II), in connection with which a nondisclosure
requirement under clause (i) is imposed, shall include notice of the
availability of judicial review described in subclause (I).
``(iv) A nondisclosure requirement imposed under clause (i) may be
extended in accordance with section 3486A(a)(4).''.
SEC. 3. JUDICIAL REVIEW OF NONDISCLOSURE REQUIREMENTS.
(a) In General.--Chapter 223 of title 18, United States Code, is
amended by inserting after section 3486 the following:
``Sec. 3486A. Judicial review of nondisclosure requirements
``(a) Nondisclosure.--
``(1) In general.--
``(A) Notice.--If a recipient of a subpoena under
section 3486 as described in subsection
(a)(1)(A)(i)(II) of section 3486 wishes to have a court
review a nondisclosure requirement imposed in
connection with the subpoena, the recipient may notify
the Government or file a petition for judicial review
in any court described in subsection (a)(5) of section
3486.
``(B) Application.--Not later than 30 days after
the date of receipt of a notification under
subparagraph (A), the Government shall apply for an
order prohibiting the disclosure of the existence or
contents of the relevant subpoena. An application under
this subparagraph may be filed in the district court of
the United States for the judicial district in which
the recipient of the subpoena is doing business or in
the district court of the United States for any
judicial district within which the authorized
investigation that is the basis for the subpoena is
being conducted. The applicable nondisclosure
requirement shall remain in effect during the pendency
of proceedings relating to the requirement.
``(C) Consideration.--A district court of the
United States that receives a petition under
subparagraph (A) or an application under subparagraph
(B) should rule expeditiously, and shall, subject to
paragraph (3), issue a nondisclosure order that
includes conditions appropriate to the circumstances.
``(2) Application contents.--An application for a
nondisclosure order or extension thereof or a response to a
petition filed under paragraph (1) shall include a
certification from the Federal official who issued the subpoena
indicating that the absence of a prohibition of disclosure
under this subsection may result in--
``(A) endangering the life or physical safety of an
individual;
``(B) flight from prosecution;
``(C) destruction of or tampering with evidence;
``(D) intimidation of potential witnesses; or
``(E) otherwise seriously jeopardizing an
investigation.
``(3) Standard.--A district court of the United States
shall issue a nondisclosure order or extension thereof under
this subsection if the court determines that there is reason to
believe that disclosure of the information subject to the
nondisclosure requirement during the applicable time period may
result in--
``(A) endangering the life or physical safety of an
individual;
``(B) flight from prosecution;
``(C) destruction of or tampering with evidence;
``(D) intimidation of potential witnesses; or
``(E) otherwise seriously jeopardizing an
investigation.
``(4) Extension.--Upon a showing that the circumstances
described in subparagraphs (A) through (E) of paragraph (3)
continue to exist, a district court of the United States may
issue an ex parte order extending a nondisclosure order imposed
under this subsection or under section 3486(a)(6)(D) for
additional periods of 180 days, or, if the court determines
that the circumstances necessitate a longer period of
nondisclosure, for additional periods which are longer than 180
days.
``(b) Closed Hearings.--In all proceedings under this section,
subject to any right to an open hearing in a contempt proceeding, the
court must close any hearing to the extent necessary to prevent an
unauthorized disclosure of a request for records, a report, or other
information made to any person or entity under section 3486. Petitions,
filings, records, orders, certifications, and subpoenas must also be
kept under seal to the extent and as long as necessary to prevent the
unauthorized disclosure of a subpoena under section 3486.''.
(b) Clerical Amendment.--The table of sections at the beginning of
chapter 223 of title 18, United States Code, is amended by inserting
after the item relating to section 3486 the following:
``3486A. Judicial review of nondisclosure requirements.''.
<all>
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118HR3142 | Stand Your Ground Act of 2023 | [
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... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3142 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3142
To amend title 18, United States Code, to provide an affirmative
defense for certain criminal violations, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Gaetz (for himself, Mr. Biggs, Mr. Gosar, Mr. Burlison, Ms. Greene
of Georgia, Mrs. Miller of Illinois, Mr. C. Scott Franklin of Florida,
and Mr. Weber of Texas) introduced the following bill; which was
referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To amend title 18, United States Code, to provide an affirmative
defense for certain criminal violations, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Stand Your Ground Act of 2023''.
SEC. 2. CERTAIN AFFIRMATIVE DEFENSES.
(a) Affirmative Defense.--Part I of title 18, United States Code,
is amended by adding at the end the following new chapter:
``CHAPTER 124--AFFIRMATIVE DEFENSES
``SEC. 2730. AFFIRMATIVE DEFENSE FOR CERTAIN CRIMINAL VIOLATIONS.
``(a) Use or Threatened Use of Force in Defense of Person.--It
shall be an affirmative defense to a violation of this title if:
``(1) A person is justified in using, threatening, or
attempting to use force, except deadly force, against another
when and to the extent that the person reasonably believes that
such conduct is necessary to defend himself or herself or
another against an agressor's imminent use of unlawful force. A
person who uses or threatens to use force in accordance with
this paragraph does not have a duty to retreat before using or
threatening to use such force.
``(2) A person is justified in using, threatening, or
attempting to use deadly force if he or she reasonably believes
that using, threatening, or attempting to use such force is
necessary to prevent imminent death or great bodily harm to
himself or herself or another or to prevent the imminent
commission of a forcible felony. A person who uses, threatens,
or attempts to use deadly force in accordance with this
paragraph does not have a duty to retreat and has the right to
stand his or her ground if the person using, threatening, or
attempts to use the deadly force is not engaged in a criminal
activity and is in a place where he or she has a right to be.
``(b) Definitions.--In this section:
``(1) Duty to retreat.--The term `duty to retreat' means
that if a person is under attack, he or she should first seek
retreat as the preferred alternative to using force to act in
self-defense.
``(2) Forcible felony.--The term `forcible felony' includes
treason, murder, manslaughter, sexual battery, carjacking,
home-invasion robbery, robbery, burglary, arson, kidnapping,
aggravated assault, aggravated battery, aggravated stalking,
aircraft piracy, unlawful throwing, placing, or discharging of
a destructive device or bomb, and any other felony which
involves the use or threat of physical force or violence
against any individual.
``(3) Stand your ground.--The term `stand your ground'
means the allowance of an individual to defend himself or
herself by any means necessary when his or her life is
threatened.''.
(b) Effective Date; Applicability.--The amendments made under
subsection (a) shall take effect on the date of the enactment of this
Act and may be used as an affirmative defense by a defendant in the
prosecution of a criminal offense initiated after the date of the
enactment of this Act.
<all>
</pre></body></html>
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118HR3143 | Teachers LEAD Act of 2023 | [
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"T000... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3143 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3143
To direct the Secretary of Education to award grants to eligible
entities to carry out teacher leadership programs, and for other
purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Gallego (for himself and Mrs. Hayes) introduced the following bill;
which was referred to the Committee on Education and the Workforce
_______________________________________________________________________
A BILL
To direct the Secretary of Education to award grants to eligible
entities to carry out teacher leadership programs, and for other
purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Teachers Leading, Educating,
Advancing, and Designing Act of 2023'' or the ``Teachers LEAD Act of
2023''.
SEC. 2. FINDINGS.
Congress finds the following:
(1) Decades of research have shown that teachers are the
single most important school-based factor in student
achievement, and an analysis by the Brookings Institution
indicates that a high level of teacher turnover is negatively
associated with student achievement, and is higher in urban
schools and schools with more economically disadvantaged
students.
(2) A report by the National Commission on Teaching and
America's Future estimated that districts spend between $10,000
and $17,000 for each teacher who leaves the district, making
teacher turnover and attrition a costly issue for school
systems.
(3) The United States education system is experiencing an
ongoing teacher recruitment, retention, and shortage crisis.
According to a National Education Association survey in January
of 2022, 55 percent of all teachers, 62 percent of Black
teachers, and 59 percent of Hispanic or Latino educators said
they were more likely to retire early or leave the profession.
(4) In the same survey, 74 percent of teachers report
having to fill in for colleagues or take on other duties due to
staff shortages, while 90 percent of respondents pointed out
that teacher burnout is becoming a very serious issue. As a
Nation, we face the possibilities of vacancies and educator
burnout being exacerbated by educator shortages.
(5) An analysis by the Economic Policy Institute of teacher
turnover data suggests that low salaries, lack of professional
development opportunities, and a difficult school climate,
including lack of teacher input into school policy, are common
factors behind teachers leaving the workforce.
(6) According to data from the National Center for
Education Statistics, racially and ethnically diverse teachers
are more likely to work in high-need schools. Unfortunately,
these schools often experience high teacher turnover rates,
which can have a negative impact on students.
(7) According to a report by Teach Plus and the Education
Trust, teachers of color report that they have considered
leaving the profession because they lack agency, autonomy in
decision making, and opportunities for leadership.
(8) Studies show that all students benefit from having
racially and ethnically diverse teachers. These benefits are
magnified for students of color, who experience improved
academic performance, higher graduation rates, and increased
interest in pursuing higher education.
(9) Teachers of color are also underrepresented in schools,
with only 20 percent of the teacher workforce identifying as
people of color versus over 50 percent of public school
students.
(10) Studies show that there is a positive link between
professional leadership opportunities, job satisfaction, and
retention of classroom teachers, and that compensation for
teachers' added leadership responsibilities increases teacher
retention.
(11) In a Gates Foundation Survey, only 12 percent of all
teachers surveyed reported receiving consistent job-embedded
mentorship and professional development from veteran teachers,
despite multiple studies showing that consistent mentorship
improves student learning.
(12) The New Teacher Project found that only 26 percent of
high-performing teachers agreed that their school leadership
identified opportunities or clear paths for teacher leadership
roles.
(13) According to a report by Teach Plus and the Education
Trust, teachers' investment in their schools and their
likelihood of retention is greater where opportunities exist to
innovate and advocate on behalf of students, especially when a
teacher acts in partnership with school and district
administration to address student and teacher needs.
(14) Structured leadership programs are an effective way to
help combat the nationwide teacher shortage and improve teacher
retention by empowering teachers and establishing formal peer
mentorships between effective and experienced teachers and
those just entering the profession, which also leads to
academic and socio-emotional benefits for students.
(15) Federal policies are needed to encourage and fund the
establishment of structured leadership programs at public
schools, especially in high-need schools and school districts.
SEC. 3. TEACHER LEADERSHIP GRANT PROGRAM.
(a) Definitions.--In this section:
(1) ESEA terms.--The terms ``educational service agency'',
``elementary school'', ``local educational agency'',
``paraprofessional'', ``school leader'', ``secondary school'',
and ``Secretary'' have the meanings given such terms in section
8101 of the Elementary and Secondary Education Act of 1965 (20
U.S.C. 7801).
(2) Distributed leadership.--The term ``distributed
leadership'' means a range of approaches wherein the school
leadership shares aspects of the traditional set of school
decisions, organization, management, and operations with
teachers in a manner that is coordinated by, agreed to, and led
by the teachers and school leadership.
(3) Eligible entity.--The term ``eligible entity'' means--
(A) a local educational agency or educational
service agency;
(B) a consortium of local educational agencies or
educational service agencies; or
(C) a partnership between a local educational
agency or educational service agency and--
(i) a nonprofit organization with
demonstrated expertise in teacher leadership
programs, as determined by the Secretary;
(ii) a State educational agency in the same
State as the local educational agency or
educational service agency with demonstrated
capacity in supporting teacher leadership
programs, as determined by the Secretary;
(iii) an institution of higher education
(as defined in section 101 of the Higher
Education Act of 1965 (20 U.S.C. 1001)) that
awards postsecondary teacher certificates or
degrees and has a demonstrated capacity in
supporting teacher leadership programs or
teacher diversity, as determined by the
Secretary;
(iv) a Minority-Serving Institution, Tribal
College or University, or Historically Black
College or University; or
(v) an Indian Tribe.
(4) High-need educational service agency.--The term ``high-
need educational service agency'' means an educational service
agency that serves a significant number or percentage of high-
need local educational agencies.
(5) High-need local educational agency.--The term ``high-
need local educational agency'' means a high-need local
educational agency, as such term is defined in paragraph (10)
of section 200 of the Higher Education Act of 1965 (20 U.S.C.
1021(10)).
(6) Indian tribe.--The term ``Indian Tribe'' means the
recognized governing body of any Indian or Alaska Native Tribe,
band, nation, pueblo, village, community, component band, or
component reservation, individually identified (including
parenthetically) in the list published most recently as of the
date of enactment of this Act pursuant to section 104 of the
Federally Recognized Indian Tribe List Act of 1994 (25 U.S.C.
5131).
(7) Minority-serving institution.--The term ``Minority-
Serving Institution'' means any of the following:
(A) An Alaska Native-serving institution, as that
term is defined in section 317(b) of the Higher
Education Act of 1965 (20 U.S.C. 1059d(b)).
(B) A Native Hawaiian-serving institution, as that
term is defined in section 317(b) of the Higher
Education Act of 1965 (20 U.S.C. 1059d(b)).
(C) A Hispanic-serving institution, as that term is
defined in section 502(a) of the Higher Education Act
of 1965 (20 U.S.C. 1101a(a)).
(D) A Predominantly Black institution, as that term
is defined in section 371(c) of the Higher Education
Act of 1965 (20 U.S.C. 1067q(c)).
(E) An Asian American and Native American Pacific
Islander-serving institution, as that term is defined
in section 320(b) of the Higher Education Act of 1965
(20 U.S.C. 1059g(b)).
(F) A Native American-serving, nontribal
institution, as that term is defined in section 319(b)
of the Higher Education Act of 1965 (20 U.S.C.
1059f(b)).
(8) Tribal college or university.--The term ``Tribal
College or University'' has the meaning given the term as
defined in section 316(b)(3) of the Higher Education Act of
1965 (20 U.S.C. 1059c(b)(3)).
(9) Historically black college or university.--The term
``Historically Black College or University'' has the meaning
given the term ``part B institution'' in section 322 of the
Higher Education Act of 1965 (20 U.S.C. 1061).
(10) Teacher leader.--The term ``teacher leader'' means a
teacher who is selected to participate in the teacher
leadership program under this section.
(b) Program Authorized.--
(1) In general.--The Secretary shall award grants, on a
competitive basis, to eligible entities to carry out teacher
leadership programs.
(2) Reservations.--From the total amount appropriated to
carry out this section for a fiscal year, the Secretary--
(A) shall reserve not less than 5 percent to carry
out subsection (h);
(B) may reserve not more than--
(i) 3 percent to provide technical
assistance to, and support the capacity
building of, the programs assisted under this
section; and
(ii) 0.5 percent to support program
administration and data collection under this
section; and
(C) may reserve not more than 3.5 percent to award
planning grants to eligible entities in order to assist
those eligible entities in developing a program
proposal in accordance with subsection (h).
(3) Grant period.--The Secretary shall make grant awards
for not more than 3 years and may extend grant awards for not
more than 2 additional years if the grantee is making progress
in achieving program objectives.
(4) Geographic diversity.--In awarding grants under this
section, the Secretary shall ensure that, to the extent
practicable, grants are distributed among eligible entities
that will serve geographically diverse areas, including urban
and rural areas.
(c) Application.--
(1) In general.--An eligible entity desiring a grant under
this section shall submit an application to the Secretary at
such time, in such manner, and containing such information as
the Secretary may require, including--
(A) a description of how the eligible entity will
implement the program proposal described in paragraph
(2);
(B) a description of how grant funds will be spent,
including if and how other Federal, State, Tribal, and
local funding sources may be used to supplement grant
funds in order to meet the requirements of the teacher
leadership program; and
(C) a description of how the eligible entity will
continue the teacher leadership activities assisted
under the grant after the grant period ends.
(2) Program proposal.--The program proposal required under
this subsection shall include the following:
(A) Program plan.--A plan to establish and operate
a teacher leadership program that includes the
following:
(i) A description of how the eligible
entity will ensure that the program includes
the participation of teacher leaders in goal
setting, professional learning, or
collaboration with content experts, school
leadership, colleagues, or leadership of an
eligible entity, with respect to--
(I) strategic planning or
development at the school level and the
level of the eligible entity, including
planning and development relating to
school climate, community engagement,
teacher professional development and
mentorship, and student growth; or
(II) implementing practices to
support children's social, emotional,
or academic needs, such as--
(aa) planning the design of
and organizing the physical
space, organizational
structure, wraparound services,
and culture of schools to
support positive, healthy, and
developmentally appropriate
relationships among members of
the school and community;
(bb) creating multi-tiered
and integrated systems of
support to address student
academic and non-academic
needs;
(cc) creating and fostering
safe and inclusive learning
environments that enable
authentic, culturally and
linguistically responsive
learning in identity-safe
settings; or
(dd) supporting
participating teacher leaders
in earning additional
certifications or licensure to
develop their expertise such as
National Board Certification,
or licensure in special or
bilingual education.
(ii) A description of how the eligible
entity will ensure that the program offers
structures for shared decision making,
distributed leadership, common planning, and
collaboration between participating teacher
leaders and school leaders.
(iii) A description of how the eligible
entity will ensure that teacher leaders receive
training and support to improve skills related
to acting as instructional leaders, coaches,
mentors, or facilitators of professional
learning.
(iv) A description of how the eligible
entity will use this program to establish and
sustain teacher leadership opportunities to
increase teacher retention, including for
teachers who are individuals from
underrepresented populations in the teaching
profession.
(B) Program requirements.--A description of how the
eligible entity will meet each of the following program
requirements:
(i) Ensuring all full-time teachers with at
least 3 years of full-time teaching experience
that maintain their roles as classroom
instructors and are employed by the local
educational agency may apply to participate in
such program as teacher leaders.
(ii) Providing the selection criteria for
program participation to all eligible teachers
described in clause (i), which will include
selection based on an eligible teacher's
demonstrated ability in carrying out not less
than 5 of the criteria in subclauses (I)
through (VIII) and a commitment to growth in
other criteria where they do not have a
demonstrated ability of--
(I) carrying out leadership
responsibilities while maintaining a
role as a classroom instructor;
(II) focusing on improving or
advancing the vision, goals, and
priorities of the eligible entity that
employs such teacher using evidence-
based and practice-based data;
(III) collecting and analyzing data
of student social, emotional, and
academic outcomes or teacher
professional outcomes and taking
actions to improve student outcomes,
teacher outcomes or professional
learning informed by such data;
(IV) facilitating collaborative,
evidence-based and practice-based, and
sustained professional learning with
peers, including mentorship and
instruction leadership, that lead to
improvements in teaching efficacy,
professional outcomes or student
social, emotional, and academic
outcomes;
(V) analyzing socioeconomic,
cultural, and historical contexts of
students, their communities, and the
local educational agency, including
existing pedagogy, school policies, and
school-based outreach to families and
the community to create safe, healthy,
and inclusive school climates;
(VI) implementing and evaluating
strategies aimed at addressing areas of
demonstrated need in the school at
which the teacher is employed,
including increasing wraparound
services, academic supports, family
engagement, and community-based
services;
(VII) supporting teachers to
effectively serve students with
disabilities, English learners, and
students who are linguistically,
racially, and culturally diverse,
economically disadvantaged, or
historically underrepresented to
increase their social, emotional, and
academic needs; and
(VIII) using, customizing, or
developing lesson materials and
instructional resources to meet the
unique needs of students and the
eligible entity to further students'
academic achievement and social-
emotional learning.
(iii) Ensuring that all teachers and
paraprofessionals employed by the participating
local educational agencies served by the
eligible entity are eligible to participate in
programming led by a teacher leader, when
applicable.
(iv) Providing financial assistance or
compensation to teacher leaders who participate
in such program for the additional
responsibilities that are directly related to
the teacher leadership program.
(v) Allowing the financial assistance or
compensation described in clause (iv) to be
substituted for paid time off or satisfaction
of a contract requirement--
(I) at the request of the teacher
leader receiving such compensation; and
(II) with the authorization and
agreement of the eligible entity that
serves the elementary or secondary
school at which such teacher leader is
employed.
(vi) Requiring teacher leaders to support
their own development and professional growth
by evaluating themselves and each other using
evidence-, research-, or practice-based
rubrics.
(vii) Consulting with other teachers who
are not teacher leaders when developing and
implementing the program as described in this
subparagraph.
(viii) Expending funds granted under this
Act to permit--
(I) not more than 5 percent of such
grant funds for administrative
expenses; and
(II) not less than 95 percent of
such grant funds to--
(aa) implement the program
proposal described in this
paragraph; and
(bb) carry out 1 or more of
the following activities:
(AA) Facilitating
collaboration between
program participants.
(BB) Developing or
improving instructional
materials.
(CC) Supporting the
reallocation of work
hours for teacher
leaders between
classroom
responsibilities and
responsibilities as a
teacher leader.
(3) Data reporting requirement.--Each eligible entity
applying for a grant under this section shall include in such
application an assurance that the eligible entity will comply
with reporting and evaluation requirements described in
subsection (f).
(d) Priority.--In awarding grants under this section, the Secretary
shall give priority to eligible entities that are or that include--
(1) a high-need educational service agency;
(2) a high-need local educational agency;
(3) a local educational agency that receives basic support
payments under section 7003(b)(1) of the Elementary and
Secondary Education Act of 1965 (20 U.S.C. 7703(b)(1));
(4) an Indian Tribe, Tribal educational department or
agency, or Tribal educational organization;
(5) a Native Hawaiian community-based organization or
Native Hawaiian educational organization (as those terms are
defined in section 6207 of the Elementary and Secondary
Education Act of 1965 (20 U.S.C. 7517)) or an Alaska Native
organization (as defined in section 6306 of such Act (20 U.S.C.
7546));
(6) a local educational agency that demonstrates in their
program proposal under subsection (b)(2) a plan to use this
program to establish and sustain teacher leadership
opportunities to increase teacher recruitment, including
teachers who are individuals from underrepresented populations
in the teaching profession;
(7) an eligible entity described in subsection (a)(3)(C)
that has a successful track record in supporting teacher
leadership models, retaining teachers, or advancing teacher
diversity; or
(8) a Historically Black College or University, a Tribal
College or University, or a Minority-Serving Institution.
(e) Uses of Funds.--
(1) In general.--An eligible entity awarded a grant under
this section shall use--
(A) not more than 5 percent of such grant funds for
administrative expenses; and
(B) not less than 95 percent of such grant funds to
implement the program proposal described in subsection
(c)(2) and, at the eligible entity's option, carry out
activities described in paragraph (2).
(2) Permissive uses of funds.--In addition to implementing
the program proposal under subsection (c)(2), an eligible
entity awarded a grant under this section may use such grant
funds to facilitate--
(A) collaboration between program participants;
(B) instructional materials development; or
(C) the reallocation of work hours for teacher
leaders between classroom responsibilities and
responsibilities as a teacher leader.
(f) Reports and Evaluation.--
(1) Reports to the secretary.--An eligible entity shall
submit to the Secretary, in a timeline determined by the
Secretary, all information necessary for the evaluation
described in paragraph (2).
(2) Evaluation.--The Secretary, acting through the Director
of the Institute of Education Sciences, shall carry out an
independent evaluation measuring the effectiveness of the
activities carried out under grants awarded under this section,
including information about whether participating eligible
entities experience greater teacher retention than non-
participants. In carrying out the evaluation, the Director
shall collect and analyze the following information,
disaggregated by race, ethnicity, and gender:
(A) With respect to each participating eligible
entity--
(i) the 3-year retention rate of all full-
time teachers, disaggregated by--
(I) teachers who are in their first
year of teaching; and
(II) teachers who were hired by
such local educational agency in the
same school year as one another;
(ii) the 5-year retention rate of all full-
time teachers, disaggregated by--
(I) teachers who are in their first
year of teaching; and
(II) teachers who were hired by
such local educational agency in the
same school year as one another; and
(iii) the employment status of full-time
teachers who were hired by such educational
agency, in the same school year in which such
eligible entity received a grant under this
section.
(B) With respect to each teacher leader
participating in a program established using such grant
funds, the following:
(i) The number of years of teaching
experience such teacher leader had at the time
of program participation.
(ii) Whether such teacher leader is
employed by a local educational agency served
by such eligible entity.
(iii) If such teacher leader is not
employed by a local educational agency served
by such eligible entity, the reason for
leaving.
(iv) The year in which such teacher leader
was first employed as a teacher.
(3) Publication.--The aggregated data submitted under
paragraph (1) and the results of the evaluation under paragraph
(2) shall be made publicly available on the website of the
Department of Education, except that such publicly available
data and results shall not reveal personally identifiable
information.
(4) Reports to congress.--Not later than 3 years after the
Secretary makes awards to an eligible entity under this
section, the Secretary shall submit to the Committee on Health,
Education, Labor, and Pensions of the Senate, the Committee on
Education and the Workforce of the House of Representatives,
the Committee on Indian Affairs of the Senate, the Committee on
Natural Resources of the House, the Secretary of the Interior,
and the Institute of Education Sciences a summary report of the
preliminary results and impact of the teacher leadership
program. The Secretary shall submit to such committees, the
Secretary of the Interior, and the Institute of Education
Sciences an annual report of the results and impact of the
teacher leadership program for each year of the grant
thereafter.
(g) Bureau of Indian Education Teacher Leadership Programs.--
(1) In general.--The Secretary, in coordination with the
Secretary of the Interior, shall--
(A) develop and implement a teacher leadership
program plan for Bureau schools (as defined in section
1141 of the Education Amendments of 1978 (25 U.S.C.
2021)); and
(B) award grants to Bureau-funded schools described
in subparagraphs (B) and (C) of section 1141(3) of the
Education Amendments of 1978 (25 U.S.C. 2021(3)).
(2) Special rule.--The Secretary, in consultation with the
Secretary of the Interior and Indian Tribes, may waive any
requirement under this section or prescribe an alternative or
substantially similar requirement if the Secretary finds that
the waiver or alternative requirement is necessary for the
effective delivery and administration of activities under this
section.
(h) Planning Proposal Grants.--
(1) In general.--The Secretary may award planning grants to
eligible entities to enable those eligible entities to develop
a program proposal under subsection (c)(2).
(2) Application.--Each eligible entity that desires a
planning grant under this subsection shall submit an
application to the Secretary at such time, in such manner, and
containing such information as the Secretary may require.
(3) Duration.--A planning grant under this subsection shall
be for a period of not more than 1 year.
(i) Authorization of Appropriations.--There are authorized to be
appropriated to carry out this section $400,000,000 for fiscal year
2024 and each of the 4 succeeding fiscal years.
<all>
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118HR3144 | Prairie Band Potawatomi Nation Shab-eh-nay Band Reservation Settlement Act of 2023 | [
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[... | <p><strong>Prairie Band Potawatomi Nation Shab-eh-nay Band Reservation Settlement Act of </strong><b>2023</b></p> <p>This bill provides for the settlement of claims by the Prairie Band Potawatomi Nation relating to the Shab-eh-nay Band Reservation in northern Illinois. The reservation consists of 1,280 acres and, due to a sale in 1849, is currently occupied by the tribe and nontribe entities, including the State of Illinois, the Dekalb County government, and corporate entities.</p> <p>In particular, the bill recognizes the tribe's ownership of 129 acres of land within the reservation. Further, the bill extinguishes the tribe's title to the remainder of the reservation.</p> <p>Subject to appropriations, the bill requires the Department of the Interior to pay the tribe a specified amount as settlement of the tribe's claims for the tribe to promote economic development and land acquisition.</p> <p>The tribe may use these settlement funds to acquire up to 1,151 acres of land within or near the reservation.</p> <p> The bill authorizes the tribe to enter into agreements with the State of Illinois and local governments. It requires land that is located within the boundaries of the reservation and owned by state and local governments to be managed to protect any human or cultural remains.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3144 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3144
To provide for the settlement of claims relating to the Shab-eh-nay
Band Reservation in Illinois, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Garcia of Illinois (for himself, Ms. Underwood, Mr. LaTurner, Mr.
Mann, and Ms. Davids of Kansas) introduced the following bill; which
was referred to the Committee on Natural Resources
_______________________________________________________________________
A BILL
To provide for the settlement of claims relating to the Shab-eh-nay
Band Reservation in Illinois, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Prairie Band Potawatomi Nation Shab-
eh-nay Band Reservation Settlement Act of 2023''.
SEC. 2. FINDINGS; PURPOSES.
(a) Findings.--Congress finds that--
(1) pursuant to the Treaty of July 29, 1829, made and
concluded at Prairie du Chien (7 Stat. 320) (commonly known as
the ``Second Treaty of Prairie du Chien''), the Potawatomi and
other affected Indian Tribes ceded certain land in northern
Illinois, except for 2 parcels totaling 1,280 acres for
Potawatomi Chief Shab-eh-nay and his Band at their village near
Paw Paw Grove, Illinois;
(2)(A) pursuant to the Treaty of September 26, 1833, made
at Chicago (7 Stat. 431) (commonly known as the ``Treaty of
Chicago''), the Potawatomi and other Indians ceded
approximately 5,000,000 acres of land, including the Shab-eh-
nay Band Reservation; but
(B) the Senate rejected the provision that ceded that
reservation, with the effect of affirming the Indian-held title
and boundaries of the Shab-eh-nay Band Reservation;
(3)(A) in 1849, while Chief Shab-eh-nay was visiting his
relatives in Kansas, the Commissioner of the General Land
Office of the United States sold the Shab-eh-nay Band
Reservation at public auction to non-Indians who erroneously
believed that they had acquired good title to the land on which
the Shab-eh-nay Band Reservation is located; and
(B) the Shab-eh-nay Band Reservation is illegally occupied
as of the date of the enactment of this Act;
(4) the Shab-eh-nay Band Reservation continues to exist;
(5) there is no evidence that Chief Shab-eh-nay and his
band abandoned the Shab-eh-nay Band Reservation which, even if
true, could not be the basis for extinguishing the treaty-
recognized Indian title to the Reservation;
(6) the Shab-eh-nay Band held recognized title to the Shab-
eh-nay Band Reservation;
(7) Congress has never acted by treaty or statute to
extinguish the recognized Indian title to the Shab-eh-nay Band
Reservation;
(8) the Tribe is the successor in interest to Chief Shab-
eh-nay's Band and the rightful owner and occupant of the Shab-
eh-nay Band Reservation;
(9) the United States continues to bear a trust
responsibility to the Tribe for the Shab-eh-nay Band
Reservation;
(10) the Tribe pursued a claim against the United States
under the Act entitled ``An Act to create an Indian Claims
Commission, to provide for the powers, duties, and functions
thereof, and for other purposes'', approved August 13, 1946
(commonly known as the ``Indian Claims Commission Act'') and
was paid for the loss of certain lands in northern Illinois,
but the Shab-eh-nay Band Reservation was specifically excluded
by the Commission from the lands for which it awarded
additional compensation;
(11) the Federal Government, through the actions of the
General Land Office, has deprived the Tribe of the right of
exclusive use and occupancy of the Shab-eh-nay Band Reservation
without legal authorization or just compensation;
(12) certain non-Indian individuals, entities, and local
governments occupying land within the boundaries of the Shab-
eh-nay Band Reservation as of the date of the enactment of this
Act, including the State and the County--
(A) acquired ownership interests to the land in
good faith; and
(B) should be able to possess clear title to the
land; and
(13) the United States has a moral and legal
responsibility--
(A) to help secure a fair and equitable settlement
of past inequities to the Tribe; and
(B) to ensure protection of the ownership interests
of non-Indian occupants of the Shab-eh-nay Band
Reservation.
(b) Purposes.--The purposes of this Act are--
(1) to acknowledge the unlawful sale by the Federal
Government of the valuable right held by the Tribe to the
exclusive use and occupancy of the Shab-eh-nay Band
Reservation;
(2) to reaffirm Federal recognition of the ownership by the
Tribe of, and jurisdiction over, land that the Tribe owns
within the Shab-eh-nay Band Reservation;
(3) to promote the economic self-sufficiency of the Tribe
and the members of the Tribe;
(4) to extinguish the Indian title to, and confirm the
ownership by the State, the County, and certain individuals and
entities of, certain land within the boundaries of the Shab-eh-
nay Band Reservation;
(5) to provide stability and security to the State and
residents of the State, the local governments and the areas
over which the local governments exercise jurisdiction, and
businesses regarding the ownership and use by the Tribe of the
Reaffirmed Reservation;
(6) to extinguish potential claims by the Tribe against the
United States, the State, the local governments, and private
individuals and entities that could be a direct consequence of
not reaching a settlement with the Tribe;
(7) to require the Secretary to preserve and protect, but
not manage, the Reaffirmed Reservation in furtherance of the
trust responsibility of the Federal Government; and
(8) to authorize the Secretary--
(A) to execute the waiver and release of claims and
compensate the Tribe; and
(B) to take any other action necessary to carry out
this Act.
SEC. 3. DEFINITIONS.
In this Act:
(1) County.--The term ``County'' means Dekalb County in the
State.
(2) Local government.--The term ``local government'' means
any unit of local government that exercises authority over land
located within the Reservation as of the date of the enactment
of this Act.
(3) Reaffirmed reservation.--The term ``Reaffirmed
Reservation'' means--
(A) the Reservation; and
(B) any land located within the Replacement Area
that is held in trust after being taken into trust by
the Secretary of the Interior for the benefit of the
Tribe after the date of the enactment of this Act.
(4) Replacement area.--The term ``Replacement Area'' means
the aboriginal territory of the Tribe, located in the State
near Shabbona, which is all of the approximated land that is
bounded as follows:
(A) On the north by Interstate 88.
(B) On the west by Interstate 39.
(C) On the south by State Route 30 and Preserve
Road.
(D) On the east by South 4th Street and State Route
23.
(5) Repurchased lands.--The term ``Repurchased Lands''
means the approximately 129 acres of land purchased and owned
by the Tribe within the Reservation as of the date of the
enactment of this Act.
(6) Reservation.--The term ``Reservation'' means the
approximately 1,280 acres of land in the State reserved in the
treaty of July 29, 1829 (7 Stat. 320) and the Treaty of
September 26, 1833 (7 STAT. 431) and described as follows: sec.
23, the W\1/2\ of sec. 25, and the E\1/2\ of sec. 26 in T. 38
N., R. 3 E., Third Principal Meridian.
(7) Secretary.--The term ``Secretary'' means the Secretary
of the Interior.
(8) State.--The term ``State'' means the State of Illinois.
(9) Tribe.--The term ``Tribe'' means the Prairie Band
Potawatomi Nation, a federally recognized Indian Tribe.
SEC. 4. REAFFIRMATION OF SHAB-EH-NAY BAND RESERVATION.
(a) Reaffirmation of Reservation Status.--The Repurchased Lands is
reaffirmed as Indian Country (as that term is defined in section 1151
of title 18, United States Code).
(b) Transfer of Lands Into Trust.--If, not later than 180 days
after the date of the enactment of this Act, the Tribe transfers title
to any or all of the Repurchased Lands to the United States, the
Secretary, not later than 180 days after such transfer, shall take the
transferred land into trust for the benefit of the Tribe.
(c) Administration.--Repurchased Lands transferred under subsection
(b) shall be part of the Reaffirmed Reservation and administered in
accordance with the laws and regulations generally applicable to land
held in trust by the United States for an Indian tribe.
SEC. 5. EXTINGUISHMENT OF INDIAN TITLE; CONFIRMATION OF LAND OWNERSHIP.
(a) Extinguishment of Indian Title.--The Tribe's Indian title to
all lands within the exterior boundaries of the reservation as of the
date of enactment of this Act, except for the Repurchased Lands, is
extinguished.
(b) Confirmation of Land Ownership.--Title to lands and interests
in lands within the exterior boundaries of the Reservation held by the
State, the local governments, or any individual or entity on November
5, 1849, is recognized and confirmed.
SEC. 6. WAIVER AND RELEASE OF CLAIMS.
(a) Claims Against United States, State, Local Governments, and
Other Parties.--The Tribe and the Secretary shall execute appropriate
documents providing for the relinquishment by the Tribe of all claims
against--
(1) the United States for a breach of the trust
responsibility associated with any sale of any portion of the
Reservation; and
(2) the State, the local governments, and any individuals
or entities occupying the Reservation for any trespass and
related damages in connection with the occupation and use of
the Reservation during the period beginning on November 5,
1849, and ending on the effective date described in subsection
(b).
(b) Effective Date.--The relinquishment of claims under subsection
(a) shall take effect on the later of--
(1) the date on which the Tribe receives payment of all of
the settlement funds under section 7; and
(2) the date on which the Secretary publishes in the
Federal Register a notice that the documents described in
subsection (a) have been executed by the Secretary and the
Tribe.
SEC. 7. SETTLEMENT FUNDS.
Subject to the appropriation of funds, the Secretary shall pay to
the Tribe $50,000,000 over 5 years in full settlement of the claims of
the Tribe, to be managed, invested, and used by the Tribe to promote
economic development and land acquisition, as determined by the Tribe
in accordance with the constitution and laws of the Tribe.
SEC. 8. LAND ACQUISITION; TRIBAL AUTHORITY TO ENTER INTO AGREEMENTS; NO
USE OF CONDEMNATION OR EMINENT DOMAIN.
(a) Land Acquisition.--
(1) In general.--After the date of the enactment of this
Act, the Tribe may acquire from one or more willing sellers not
more than a total of 1,151 acres of land within the exterior
boundaries of or abutting the Reservation, or within the
exterior boundaries of the Replacement Area using the
settlement funds received by the Tribe under section 7 or other
funds of the Tribe.
(2) Transfer of additional lands into trust.--At the
request of the Tribe, the Secretary shall take into trust for
the benefit of the Tribe any lands acquired under paragraph (1)
not later than 180 days after the Tribe transfers title to such
lands to the United States.
(b) Recognition of Tribal Government Authority To Enter Into
Agreements With State and Local Governments.--The Tribe may enter into
agreements with the State and any local government regarding the
Reaffirmed Reservation and activities occurring on the Reaffirmed
Reservation, including agreements relating to jurisdiction, land use,
and services.
(c) No Use of Condemnation or Eminent Domain.--Land or interests in
land within the exterior boundaries of the Reservation or the
Replacement Area--
(1) may not be acquired by condemnation or eminent domain
under this Act; and
(2) shall be acquired only by purchase with payment of fair
market value.
(d) Cultural and Historic Preservation of Reservation.--Land owned
by the State and the local governments located within the boundaries of
the Reservation shall be managed to protect any human or cultural
remains, consistent with applicable Federal and State law and subject
to the consent of the Tribe.
SEC. 9. AUTHORIZATION OF APPROPRIATIONS.
There is authorized to be appropriated to the Secretary to carry
out this Act $10,000,000 for each of fiscal years 2024 through 2028.
<all>
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118HR3145 | People Over Parking Act of 2023 | [
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"G000598",
"Rep. Garcia, Robert [D-CA-42]",
"sponsor"
],
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"B000574",
"Rep. Blumenauer, Earl [D-OR-3]",
"cosponsor"
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],
[
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[
"D000623... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3145 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3145
To allow property owners the discretion to make decisions regarding how
many parking spots to provide in connection with certain new
residential and commercial developments, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Robert Garcia of California (for himself, Mr. Blumenauer, Mr.
Moulton, and Mr. Casar) introduced the following bill; which was
referred to the Committee on Financial Services
_______________________________________________________________________
A BILL
To allow property owners the discretion to make decisions regarding how
many parking spots to provide in connection with certain new
residential and commercial developments, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``People Over Parking Act of 2023''.
SEC. 2. PREEMPTION OF STATE AND LOCAL LAWS REQUIRING THE PROVISION OF
PARKING SPOTS FOR NEW DEVELOPMENTS.
(a) Authority Regarding Provision of Parking Spots.--In the case of
a newly constructed or substantially reconstructed or rehabilitated
residential, retail, commercial, or industrial structure in or
affecting interstate or foreign commerce that is located not more than
0.5 miles from the closest covered public transit point, or a project
for such new construction or substantial reconstruction or
rehabilitation that has been permitted or otherwise authorized by the
appropriate agency of local government to be undertaken, the owner of
such structure or project shall have the sole discretion to determine
how many automobile parking spots to provide in connection with such
structure.
(b) Relation to State Law.--Any law, regulation, or other
requirement of a State or political subdivision of a State that is
inconsistent with this section is preempted, but only to the extent of
such inconsistency.
(c) Definitions.--For purposes of this section, the following
definitions shall apply:
(1) Covered public transit point.--The term ``covered
public transit point'' means a passenger point of access to a
fixed guideway, except that--
(A) with respect to a passenger ferry system, only
a point of access that is serviced by an additional
mode of public transportation; and
(B) with respect to a bus system that is not a bus
rapid transit station, only a point of access that
intersects 2 or more bus routes with a frequency of
service interval at such point of access of not more
than 15 minutes during morning and afternoon peak
commuting periods.
(2) Fixed guideway; public transportation.--The terms
``fixed guideway'' and ``public transportation'' have the
meanings given such terms in section 5302 of title 49, United
States Code.
<all>
</pre></body></html>
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118HR3146 | To amend the Internal Revenue Code of 1986 to modify the cover over of certain distilled spirits taxes. | [
[
"G000582",
"Resident Commissioner González-Colón, Jenniffer [R-PR-At Large]",
"sponsor"
],
[
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"Del. Plaskett, Stacey E. [D-VI-At Large]",
"cosponsor"
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"Rep. Moore, Gwen [D-WI-4]",
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[
"G000551",
"Rep. Grijalva, Raúl M. [... | <p>This bill repeals the limitation on the cover over (payment) of distilled spirits excise taxes to the treasuries of Puerto Rico and the U.S. Virgin Islands. It also requires the transfer of a portion of the tax revenues to the Puerto Rico Conservation Trust Fund.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3146 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3146
To amend the Internal Revenue Code of 1986 to modify the cover over of
certain distilled spirits taxes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mrs. Gonzalez-Colon (for herself and Ms. Plaskett) introduced the
following bill; which was referred to the Committee on Ways and Means
_______________________________________________________________________
A BILL
To amend the Internal Revenue Code of 1986 to modify the cover over of
certain distilled spirits taxes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. COVER OVER OF CERTAIN DISTILLED SPIRITS TAXES.
(a) Repeal of Limitation on Cover Over of Distilled Spirits Taxes
to Puerto Rico and Virgin Islands.--
(1) In general.--Section 7652 of the Internal Revenue Code
of 1986 is amended by striking subsection (f).
(2) Conforming amendment.--Section 7652(g)(1) of such Code
is amended--
(A) by striking subparagraph (B), and
(B) by striking ``as if--'' and all that follows
through ``the use and tax'' and inserting ``as if the
use and tax''.
(3) Effective date.--The amendments made by this subsection
shall apply to distilled spirits brought into the United States
after December 31, 2021.
(b) Required Transfer to Puerto Rico Conservation Trust Fund of
Portion of Puerto Rico Rum Cover Over.--
(1) In general.--Section 7652(a) of the Internal Revenue
Code of 1986 is amended by adding at the end the following new
paragraph:
``(4) Required transfer to puerto rico conservation trust
fund of portion of rum taxes covered over.--
``(A) In general.--From any taxes collected on rum
transported to the United States that are covered into
the treasury of Puerto Rico under paragraph (3) at a
rate equal to or greater than $10.50 per proof gallon,
Puerto Rico shall transfer to the Puerto Rico
Conservation Trust Fund an amount per proof gallon
equal to or greater than \1/6\ of the difference
between $10.50 and the rate, not to exceed $13.25, at
which such taxes are covered into such treasury. Puerto
Rico's obligations under this paragraph shall not
modify or impair payment priorities established under
Puerto Rico law and in effect on December 31, 2022.
``(B) Puerto rico conservation trust fund.--For
purposes of this section, the term `Puerto Rico
Conservation Trust Fund' means the fund which--
``(i) was established pursuant to a
Memorandum of Understanding between the United
States Department of the Interior and the
Commonwealth of Puerto Rico, dated December 24,
1968, and
``(ii) provides for the conservation of
natural areas in Puerto Rico, including through
sustainable agriculture efforts and the
reforestation and restoration of Puerto Rico's
natural habitats.''.
(2) Cover over determined without regard to certain rate
reductions.--Section 7652(i) of such Code, as amended by
subsection (c), is amended by inserting ``(a)(4),'' after
``(a)(3),''.
(3) Effective date.--The amendments made by this subsection
shall apply to articles containing distilled spirits brought
into the United States after December 31, 2021.
(c) Retroactive Application of Rules Relating to Determination of
Cover Over.--Notwithstanding section 107(a)(3) of division EE of Public
Law 116-260--
(1) the amendments made section 107(a)(2)(A) thereof shall
take effect as if included in section 13807 of Public Law 115-
97, and
(2) the amendments made by section 107(a)(2)(B) thereof
shall take effect as if included in section 41102 of Public Law
115-123.
<all>
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118HR3147 | To establish a defense industrial base advanced capabilities pilot program. | [
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] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3147 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3147
To establish a defense industrial base advanced capabilities pilot
program.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Ms. Houlahan (for herself, Mr. Fallon, and Mr. Wittman) introduced the
following bill; which was referred to the Committee on Armed Services
_______________________________________________________________________
A BILL
To establish a defense industrial base advanced capabilities pilot
program.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. DEFENSE INDUSTRIAL BASE ADVANCED CAPABILITIES PILOT PROGRAM.
(a) Establishment.--
(1) In general.--The Under Secretary of Defense for
Acquisition and Sustainment shall carry out a public-private
partnership pilot program to accelerate the scaling,
production, and acquisition of advanced capabilities for
national security by creating incentives for investment in
domestic small businesses or nontraditional businesses to
create a robust and resilient defense industrial base.
(2) Goals.--The goals of the public-private partnership
pilot program are as follows:
(A) To bolster the defense industrial base through
acquisition and deployment of advanced capabilities
necessary to field Department of Defense modernization
programs and priorities.
(B) To strengthen domestic defense supply chain
resilience and capacity by investing in innovative
defense companies.
(C) To leverage private equity capital to
accelerate domestic defense scaling, production, and
manufacturing.
(b) Public-Private Partnerships.--
(1) In general.--In carrying out subsection (a), the Under
Secretary shall enter into public-private partnerships,
consistent with the phased implementation provided for in
subsection (e), with for-profit persons using the criteria set
forth in paragraph (2).
(2) Criteria.--The criteria referred to in paragraph (1)
shall include the following:
(A) The person shall be independent.
(B) The person shall be free from foreign
oversight, control, influence, or beneficial ownership.
(C) The person shall have commercial private equity
fund experience in the defense and commercial sectors.
(D) The person shall be eligible for access to
classified information (as defined in the procedures
established pursuant to section 801(a) of the National
Security Act of 1947 (50 U.S.C. 3161(a))).
(3) Operating agreement.--The Under Secretary and a person
or persons with whom the Under Secretary enters a partnership
under paragraph (1) shall enter into an operating agreement
that sets forth the roles, responsibilities, authorities,
reporting requirements, and governance framework for the
partnership and its operations.
(c) Investment of Equity.--
(1) In general.--Pursuant to public-private partnerships
entered into under subsection (b), a person or persons with
whom the Under Secretary has entered into a partnership shall
invest equity in domestic small businesses or nontraditional
businesses consistent with subsection (a), with investments
selected based on technical merit, economic value, and the
Department's modernization priorities.
(2) Authorities.--A person or persons described in
paragraph (1) shall have sole authority to operate, manage, and
invest.
(d) Loan Guarantee.--
(1) In general.--The Under Secretary shall provide an up to
80 percent loan guarantee, pursuant to the public-private
partnerships entered into under subsection (b), with investment
of equity that qualifies under subsection (c) and consistent
with the goals set forth under subsection (a)(2).
(2) Pilot program authority.--The temporary loan guarantee
authority described under paragraph (1) is exclusively for the
public-private partnerships authorized under this section and
may not be utilized for other programs or purposes.
(3) Subject to operating agreement.--The loan guarantee
under paragraph (1) shall be subject to the operating agreement
entered into under subsection (b)(3).
(4) Use of funds.--Obligations incurred by the Under
Secretary under this paragraph shall be subject to the
availability of funds provided in advance specifically for the
purpose of such loan guarantees.
(e) Phased Implementation Schedule and Required Reports and
Briefings.--The program established under subsection (a) shall be
carried out in two phases as follows:
(1) Phase 1.--
(A) In general.--Phase 1 shall consist of an
initial pilot program with one public-private
partnership, consistent with subsection (b), to assess
the feasibility and advisability of expanding the scope
of the program. The Under Secretary shall begin
implementation of phase 1 not later than 180 days after
the date of the enactment of this Act.
(B) Implementation schedule and framework.--Not
later than 90 days after the date of the enactment of
this Act, the Secretary shall submit an implementation
plan to the congressional defense committees on the
design of phase 1. The plan shall include--
(i) an overview of, and the activities
undertaken, to execute the public-private
partnership;
(ii) a description of the advanced
capabilities and defense industrial base areas
under consideration for investment; and
(iii) implementation milestones and
metrics.
(C) Report and briefing required.--Not later than
27 months after the date of the enactment of this Act,
the Secretary shall provide to the congressional
defense committees a report and briefing on the
implementation of this section and the feasibility and
advisability of expanding the scope of the pilot
program. The report and briefing shall include, at
minimum--
(i) an overview of program performance, and
implementation and execution milestones and
outcomes;
(ii) an overview of progress in--
(I) achieving new products in
production aligned with Department of
Defense needs;
(II) scaling businesses aligned to
targeted industrial base and capability
areas;
(III) generating defense industrial
base job growth;
(IV) increasing supply chain
resilience and capacity; and
(V) enhancing competition on
advanced capability programs; and
(iii) an accounting of activities
undertaken and outline of the opportunities and
benefits of expanding the scope of the pilot
program.
(2) Phase 2.--
(A) In general.--Not later than 30 months after the
date of the enactment of this Act, the Secretary may
expand the scope of the phase 1 pilot program with the
ability to increase to not more than three public-
private partnerships, consistent with subsection (b).
(B) Report and briefing required.--Not later than
five years after the date of the enactment of this Act,
the Secretary shall provide to the congressional
defense committees a report and briefing on the
outcomes of the pilot program under subsection (a),
including the elements described in paragraph (1)(C),
and the feasibility and advisability of making the
program permanent.
(f) Termination.--The authority to enter into an agreement to carry
out the pilot program under subsection (a) shall terminate on the date
that is five years after the date of the enactment of this Act.
(g) Definitions.--In this section:
(1) Congressional defense committees.--The term
``congressional defense committees'' has the meaning given the
term in section 101(a)(16) of title 10, United States Code.
(2) Domestic business.--The term ``domestic business'' has
the meaning given the term ``U.S. business'' in section 800.252
of title 31, Code of Federal Regulations, or successor
regulation.
(3) Domestic small businesses or nontraditional
businesses.--The term ``domestic small businesses or
nontraditional businesses'' means--
(A) a small business that is a domestic business;
or
(B) a nontraditional business that is a domestic
business.
(4) Free from foreign oversight, control, influence, or
beneficial ownership.--The term ``free from foreign oversight,
control, influence, or beneficial ownership'', with respect to
a person, means a person who has not raised and managed capital
from a person or entity that is not trusted and who is
otherwise free from foreign oversight, control, influence, or
beneficial ownership.
(5) Independent.--The term ``independent'', with respect to
a person, means a person who lacks a conflict of interest
accomplished by not having entity or manager affiliation or
ownership with an existing fund.
(6) Nontraditional business.--The term ``nontraditional
business'' has the meaning given the term ``nontraditional
defense contractor'' in section 3014 of title 10, United States
Code.
(7) Small business.--The term ``small business'' has the
meaning given the term ``small business concern'' in section 3
of the Small Business Act (15 U.S.C. 632).
<all>
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118HR3148 | POWER Act | [
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"cosponsor... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3148 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3148
To provide grants to State, local, territorial, and Tribal law
enforcement agencies to purchase chemical screening devices and train
personnel to use chemical screening devices in order to enhance law
enforcement efficiency and protect law enforcement officers.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Joyce of Ohio (for himself, Ms. Spanberger, Mr. Graves of
Louisiana, Ms. Perez, Mr. Fitzpatrick, Mr. D'Esposito, and Mr.
Rutherford) introduced the following bill; which was referred to the
Committee on the Judiciary
_______________________________________________________________________
A BILL
To provide grants to State, local, territorial, and Tribal law
enforcement agencies to purchase chemical screening devices and train
personnel to use chemical screening devices in order to enhance law
enforcement efficiency and protect law enforcement officers.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Providing Officers With Electronic
Resources Act'' or the ``POWER Act''.
SEC. 2. FINDINGS; PURPOSE.
(a) Findings.--Congress finds that--
(1) chemical screening devices enhance the ability of law
enforcement agencies to identify unknown chemical substances
seized or otherwise encountered by law enforcement officers;
and
(2) equipping law enforcement agencies with technology that
can more efficiently identify substances, such as heroin,
fentanyl, methamphetamine, and other narcotics, will ensure
that law enforcement agencies can--
(A) investigate cases more quickly and safely;
(B) better deploy resources and strategies to
prevent illegal substances from entering and harming
communities throughout the United States; and
(C) share spectral data with other law enforcement
agencies and State and local fusion centers.
(b) Purpose.--The purpose of this Act is to provide grants to
State, local, and Tribal law enforcement agencies to purchase chemical
screening devices and train personnel to use chemical screening devices
in order to--
(1) enhance law enforcement efficiency; and
(2) protect law enforcement officers.
SEC. 3. DEFINITIONS.
In this Act:
(1) Applicant.--The term ``applicant'' means a law
enforcement agency that applies for a grant under section 4.
(2) Attorney general.--The term ``Attorney General'' means
the Attorney General, acting through the Director of the Office
of Community Oriented Policing Services.
(3) Chemical screening device.--The term ``chemical
screening device'' means an infrared spectrophotometer, mass
spectrometer, nuclear magnetic resonance spectrometer, Raman
spectrophotometer, ion mobility spectrometer, or any other
scientific instrumentation that is able to collect data that
can be interpreted to determine the presence and identity of a
covered substance.
(4) Chief law enforcement officer.--The term ``chief law
enforcement officer'' has the meaning given the term in section
922(s) of title 18, United States Code.
(5) Covered substance.--The term ``covered substance''
means--
(A) fentanyl;
(B) any other synthetic opioid; and
(C) any other narcotic or psychoactive substance.
(6) Grant funds.--The term ``grant funds'' means funds from
a grant awarded under section 4.
(7) Indian tribe.--The term ``Indian Tribe'' has the
meaning given the term in section 4 of the Indian Self-
Determination and Education Assistance Act (25 U.S.C. 5304).
(8) Law enforcement agency.--The term ``law enforcement
agency'' means an agency of a State, unit of local government,
or Indian Tribe that is authorized by law or by a government
agency to engage in or supervise the prevention, detection,
investigation, or prosecution of any violation of criminal law.
(9) Personnel.--The term ``personnel''--
(A) means employees of a law enforcement agency;
and
(B) includes scientists and law enforcement
officers.
(10) Recipient.--The term ``recipient'' means an applicant
that receives a grant under section 4.
(11) State.--The term ``State'' has the meaning given the
term in section 901 of title I of the Omnibus Crime Control and
Safe Streets Act of 1968 (34 U.S.C. 10251).
SEC. 4. GRANTS.
(a) Grants Authorized.--The Attorney General may award grants to
applicants to--
(1) purchase a chemical screening device; and
(2) train personnel to use, and interpret data collected
by, a chemical screening device.
(b) Applications.--
(1) In general.--The chief law enforcement officer of an
applicant shall submit to the Attorney General an application
that--
(A) shall include--
(i) a statement describing the need for a
chemical screening device in the jurisdiction
of the applicant; and
(ii) a certification--
(I) of the number of chemical
screening devices the applicant owns or
possesses;
(II) that not less than 1 employee
of the applicant will be trained to--
(aa) use any chemical
screening device purchased
using grant funds; and
(bb) interpret data
collected by any chemical
screening device purchased
using grant funds; and
(III) that the applicant will make
any chemical screening device purchased
using grant funds reasonably available
to test a covered substance seized by a
law enforcement agency near the
jurisdiction of the applicant; and
(B) in addition to the information required under
subparagraph (A), may, at the option of the applicant,
include--
(i) information relating to--
(I) the process used by the
applicant to identify a covered
substance seized by the applicant,
including--
(aa) the approximate
average amount of time required
for the applicant to identify a
covered substance; and
(bb) as of the date of the
application, the number of
cases in which the applicant is
awaiting identification of a
covered substance;
(II) any documented case of a law
enforcement officer, first responder,
or treating medical personnel in the
jurisdiction of the applicant who has
suffered an accidental drug overdose
caused by exposure to a covered
substance while in the line of duty;
(III) any chemical screening device
the applicant will purchase using grant
funds, including the estimated cost of
the chemical screening device; and
(IV) any estimated costs relating
to training personnel of the applicant
to use a chemical screening device
purchased using grant funds; and
(ii) data relating to--
(I) the approximate amount of
covered substances seized by the
applicant during the 2-year period
ending on the date of the application,
categorized by the type of covered
substance seized; and
(II) the approximate number of
covered substance overdoses in the
jurisdiction of the applicant that the
applicant investigated or responded to
during the 2-year period ending on the
date of the application, categorized by
fatal and nonfatal overdoses.
(2) Joint applications.--
(A) In general.--Two or more law enforcement
agencies, including law enforcement agencies located in
different States, that have jurisdiction over areas
that are geographically contiguous may submit a joint
application for a grant under this section that
includes--
(i) for each law enforcement agency--
(I) all information required under
paragraph (1)(A); and
(II) any optional information
described in paragraph (1)(B) that each
law enforcement agency chooses to
include;
(ii) a plan for the sharing of any chemical
screening devices purchased or training
provided using grant funds; and
(iii) a certification that not less than 1
employee of each law enforcement agency will be
trained to--
(I) use any chemical screening
device purchased using grant funds; and
(II) interpret data collected by
any chemical screening device purchased
using grant funds.
(B) Submission.--Law enforcement agencies
submitting a joint application under subparagraph (A)
shall--
(i) be considered as 1 applicant; and
(ii) select the chief law enforcement
officer of one of the law enforcement agencies
to submit the joint application.
(c) Restrictions.--
(1) Supplemental funds.--Grant funds shall be used to
supplement, and not supplant, State, local, and Tribal funds
made available to any applicant for any of the purposes
described in subsection (a).
(2) Administrative costs.--Not more than 3 percent of any
grant awarded under this section may be used for administrative
costs.
(d) Reports and Records.--
(1) Reports.--For each year during which grant funds are
used, the recipient shall submit to the Attorney General a
report containing--
(A) a summary of any activity carried out using
grant funds;
(B) an assessment of whether each activity
described in subparagraph (A) is meeting the needs
described in subsection (b)(1)(A)(i) that the applicant
identified in the application submitted under
subsection (b); and
(C) any other information relevant to the purpose
of this Act that the Attorney General may determine
appropriate.
(2) Records.--For the purpose of an audit by the Attorney
General of the receipt and use of grant funds, a recipient
shall--
(A) keep--
(i) any record relating to the receipt and
use of grant funds; and
(ii) any other record as the Attorney
General may require; and
(B) make the records described in subparagraph (A)
available to the Attorney General upon request by the
Attorney General.
SEC. 5. AUTHORIZATION OF APPROPRIATIONS.
There are authorized to be appropriated to the Attorney General
$20,000,000 for fiscal year 2023 to carry out section 4.
<all>
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118HR3149 | To designate United States Route 20 in the States of Oregon, Idaho, Montana, Wyoming, Nebraska, Iowa, Illinois, Indiana, Ohio, Pennsylvania, New York, and Massachusetts as the "National Medal of Honor Highway", and for other purposes. | [
[
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"Rep. Kelly, Mike [R-PA-16]",
"sponsor"
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[
"T000478"... | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3149 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3149
To designate United States Route 20 in the States of Oregon, Idaho,
Montana, Wyoming, Nebraska, Iowa, Illinois, Indiana, Ohio,
Pennsylvania, New York, and Massachusetts as the ``National Medal of
Honor Highway'', and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Mr. Kelly of Pennsylvania (for himself, Mr. Higgins of New York, Mr.
Bentz, Mr. Neal, Ms. Tenney, Ms. Kaptur, Mr. Banks, and Mrs. Chavez-
DeRemer) introduced the following bill; which was referred to the
Committee on Transportation and Infrastructure
_______________________________________________________________________
A BILL
To designate United States Route 20 in the States of Oregon, Idaho,
Montana, Wyoming, Nebraska, Iowa, Illinois, Indiana, Ohio,
Pennsylvania, New York, and Massachusetts as the ``National Medal of
Honor Highway'', and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. NATIONAL MEDAL OF HONOR HIGHWAY.
(a) Purpose.--The purposes of this Act are--
(1) to honor all current and future Medal of Honor
recipients; and
(2) to recognize the valor and service of those Medal of
Honor recipients.
(b) Designation.--United States Route 20 in each of the States of
Oregon, Idaho, Montana, Wyoming, Nebraska, Iowa, Illinois, Indiana,
Ohio, Pennsylvania, New York, and Massachusetts shall be known and
designated as the ``National Medal of Honor Highway''.
(c) References.--Any reference in a law, map, regulation, document,
paper, or other record of the United States to the highway referred to
in subsection (b) shall be deemed to be a reference to the ``National
Medal of Honor Highway''.
<all>
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118HR315 | No Taxpayer Funded Platform for Chinese Communists Act | [
[
"W000795",
"Rep. Wilson, Joe [R-SC-2]",
"sponsor"
]
] | <p><strong>No Taxpayer Funded Platform for Chinese Communists Act</strong></p> <p>This bill prohibits using federal funds made available to the U.S. Agency for Global Media to provide an open platform for representatives of the Chinese government, the Chinese Communist Party (CCP), or any entity owned or controlled by the Chinese government or by the CCP.</p> | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 315 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 315
To prohibit certain funding made available to the United States Agency
for Global Media relating to provision of an open platform for China,
and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
January 12, 2023
Mr. Wilson of South Carolina introduced the following bill; which was
referred to the Committee on Foreign Affairs
_______________________________________________________________________
A BILL
To prohibit certain funding made available to the United States Agency
for Global Media relating to provision of an open platform for China,
and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
The Act may be cited as the ``No Taxpayer Funded Platform for
Chinese Communists Act''.
SEC. 2. PROHIBITION ON CERTAIN FUNDING RELATING TO PROVISION OF AN OPEN
PLATFORM FOR CHINA.
(a) Funding Prohibition.--Notwithstanding any other provision of
law, no funding made available to the United States Agency for Global
Media (USAGM) may be used to provide an open platform for
representatives of the People's Republic of China (PRC), members of the
Chinese Communist Party (CCP), or any entity owned or controlled by the
PRC or CCP.
(b) Report.--Not later than 180 days after the date of the
enactment of this Act, the USAGM shall submit to the Committee on
Foreign Affairs of the House of Representatives and the Committee on
Foreign Relations of the Senate a report describing whether or not any
of its broadcast entities, including its grantee organizations, has
provided at any time during the five-year period immediately preceding
such report an open platform for representatives of the PRC, members of
the CCP, or any entity owned or controlled by the PRC or CCP. Such
report shall be made available on a publicly available website by the
Federal Government.
<all>
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118HR3150 | OPIOIDS Act | [
[
"L000597",
"Rep. Lee, Laurel M. [R-FL-15]",
"sponsor"
],
[
"T000483",
"Rep. Trone, David J. [D-MD-6]",
"cosponsor"
]
] | <html><body><pre>[Congressional Bills 118th Congress]
[From the U.S. Government Publishing Office]
[H.R. 3150 Introduced in House (IH)]
<DOC>
118th CONGRESS
1st Session
H. R. 3150
To permit the Attorney General to award grants for accurate date on
opioid-related overdoses, and for other purposes.
_______________________________________________________________________
IN THE HOUSE OF REPRESENTATIVES
May 9, 2023
Ms. Lee of Florida (for herself and Mr. Trone) introduced the following
bill; which was referred to the Committee on the Judiciary
_______________________________________________________________________
A BILL
To permit the Attorney General to award grants for accurate date on
opioid-related overdoses, and for other purposes.
Be it enacted by the Senate and House of Representatives of the
United States of America in Congress assembled,
SECTION 1. SHORT TITLE.
This Act may be cited as the ``Overcoming Prevalent Inadequacies in
Overdose Information Data Sets Act'' or the ``OPIOIDS Act''.
SEC. 2. ACCURATE DATA ON OPIOID-RELATED OVERDOSES.
The Attorney General may award grants to States, territories, and
localities to support improved data and surveillance on opioid-related
overdoses, including for activities to improve postmortem toxicology
testing, data linkage across data systems throughout the United States,
electronic death reporting, or the comprehensiveness of data on fatal
and nonfatal opioid-related overdoses.
SEC. 3. LAW ENFORCEMENT GRANTS.
(a) In General.--The Attorney General shall make grants to local
law enforcement agencies and forensic laboratories in communities with
high rates of drug overdoses for the purpose of--
(1) training to help officers identify overdoses;
(2) upgrading essential systems for tracing drugs and
processing samples in forensic laboratories to provide timely,
accurate, and standard data reporting to the National Forensic
Laboratory Information System; or
(3) training to better trace criminals through the darknet.
(b) Mandatory Reporting.--None of the funds made under subsection
(a) may be used by grantees that do not submit to the National Forensic
Laboratory Information System reports on overdose data.
(c) Federal Law Enforcement Training Centers.--Federal Law
Enforcement Training Centers shall provide training to State and local
law enforcement agencies on how to best coordinate with State and
Federal partners for tracking drug-related activity.
(d) COPS Grants.--Section 1701(b) of the Omnibus Crime Control and
Safe Streets Act of 1968 (34 U.S.C. 10381) is amended--
(1) in paragraph (22), by striking ``and'' at the end;
(2) in paragraph (23), by striking the period at the end
and inserting ``; and''; and
(3) by adding at the end the following:
``(24) to provide training and resources for containment
devices to prevent secondary exposure to fentanyl and other
substances for first responders.''.
SEC. 4. OFFICE OF NATIONAL DRUG CONTROL POLICY REFORM.
(a) In General.--The Drug Enforcement Administration shall develop
uniform reporting standards for inputting data into the National
Forensic Laboratory Information System for purity, formulation, and
weight to allow for better comparison across jurisdictions and between
agencies and the sharing of data.
(b) Clarification.--Nothing in subsection (a) may be construed to
require the creation of new or increased obligations or reporting
requirements on State or local laboratories.
SEC. 5. DEA TESTING.
The Drug Enforcement Administration shall submit to Congress, as
part of the annual budget process, a specific line item for the level
of funding necessary for the Fentanyl Signature Profiling Program.
<all>
</pre></body></html>
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