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Sen. Antonio Muņoz
Adopted in Senate on Oct 29, 2019
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1 | | AMENDMENT TO SENATE BILL 670
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2 | | AMENDMENT NO. ______. Amend Senate Bill 670 by replacing |
3 | | everything after the enacting clause with the following:
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4 | | "Section 5. The Freedom of Information Act is amended by |
5 | | changing Section 7.5 as follows: |
6 | | (5 ILCS 140/7.5) |
7 | | Sec. 7.5. Statutory exemptions. To the extent provided for |
8 | | by the statutes referenced below, the following shall be exempt |
9 | | from inspection and copying: |
10 | | (a) All information determined to be confidential |
11 | | under Section 4002 of the Technology Advancement and |
12 | | Development Act. |
13 | | (b) Library circulation and order records identifying |
14 | | library users with specific materials under the Library |
15 | | Records Confidentiality Act. |
16 | | (c) Applications, related documents, and medical |
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1 | | records received by the Experimental Organ Transplantation |
2 | | Procedures Board and any and all documents or other records |
3 | | prepared by the Experimental Organ Transplantation |
4 | | Procedures Board or its staff relating to applications it |
5 | | has received. |
6 | | (d) Information and records held by the Department of |
7 | | Public Health and its authorized representatives relating |
8 | | to known or suspected cases of sexually transmissible |
9 | | disease or any information the disclosure of which is |
10 | | restricted under the Illinois Sexually Transmissible |
11 | | Disease Control Act. |
12 | | (e) Information the disclosure of which is exempted |
13 | | under Section 30 of the Radon Industry Licensing Act. |
14 | | (f) Firm performance evaluations under Section 55 of |
15 | | the Architectural, Engineering, and Land Surveying |
16 | | Qualifications Based Selection Act. |
17 | | (g) Information the disclosure of which is restricted |
18 | | and exempted under Section 50 of the Illinois Prepaid |
19 | | Tuition Act. |
20 | | (h) Information the disclosure of which is exempted |
21 | | under the State Officials and Employees Ethics Act, and |
22 | | records of any lawfully created State or local inspector |
23 | | general's office that would be exempt if created or |
24 | | obtained by an Executive Inspector General's office under |
25 | | that Act. |
26 | | (i) Information contained in a local emergency energy |
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1 | | plan submitted to a municipality in accordance with a local |
2 | | emergency energy plan ordinance that is adopted under |
3 | | Section 11-21.5-5 of the Illinois Municipal Code. |
4 | | (j) Information and data concerning the distribution |
5 | | of surcharge moneys collected and remitted by carriers |
6 | | under the Emergency Telephone System Act. |
7 | | (k) Law enforcement officer identification information |
8 | | or driver identification information compiled by a law |
9 | | enforcement agency or the Department of Transportation |
10 | | under Section 11-212 of the Illinois Vehicle Code. |
11 | | (l) Records and information provided to a residential |
12 | | health care facility resident sexual assault and death |
13 | | review team or the Executive Council under the Abuse |
14 | | Prevention Review Team Act. |
15 | | (m) Information provided to the predatory lending |
16 | | database created pursuant to Article 3 of the Residential |
17 | | Real Property Disclosure Act, except to the extent |
18 | | authorized under that Article. |
19 | | (n) Defense budgets and petitions for certification of |
20 | | compensation and expenses for court appointed trial |
21 | | counsel as provided under Sections 10 and 15 of the Capital |
22 | | Crimes Litigation Act. This subsection (n) shall apply |
23 | | until the conclusion of the trial of the case, even if the |
24 | | prosecution chooses not to pursue the death penalty prior |
25 | | to trial or sentencing. |
26 | | (o) Information that is prohibited from being |
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1 | | disclosed under Section 4 of the Illinois Health and |
2 | | Hazardous Substances Registry Act. |
3 | | (p) Security portions of system safety program plans, |
4 | | investigation reports, surveys, schedules, lists, data, or |
5 | | information compiled, collected, or prepared by or for the |
6 | | Regional Transportation Authority under Section 2.11 of |
7 | | the Regional Transportation Authority Act or the St. Clair |
8 | | County Transit District under the Bi-State Transit Safety |
9 | | Act. |
10 | | (q) Information prohibited from being disclosed by the |
11 | | Personnel Record Review Act. |
12 | | (r) Information prohibited from being disclosed by the |
13 | | Illinois School Student Records Act. |
14 | | (s) Information the disclosure of which is restricted |
15 | | under Section 5-108 of the Public Utilities Act.
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16 | | (t) All identified or deidentified health information |
17 | | in the form of health data or medical records contained in, |
18 | | stored in, submitted to, transferred by, or released from |
19 | | the Illinois Health Information Exchange, and identified |
20 | | or deidentified health information in the form of health |
21 | | data and medical records of the Illinois Health Information |
22 | | Exchange in the possession of the Illinois Health |
23 | | Information Exchange Authority due to its administration |
24 | | of the Illinois Health Information Exchange. The terms |
25 | | "identified" and "deidentified" shall be given the same |
26 | | meaning as in the Health Insurance Portability and |
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1 | | Accountability Act of 1996, Public Law 104-191, or any |
2 | | subsequent amendments thereto, and any regulations |
3 | | promulgated thereunder. |
4 | | (u) Records and information provided to an independent |
5 | | team of experts under the Developmental Disability and |
6 | | Mental Health Safety Act (also known as Brian's Law). |
7 | | (v) Names and information of people who have applied |
8 | | for or received Firearm Owner's Identification Cards under |
9 | | the Firearm Owners Identification Card Act or applied for |
10 | | or received a concealed carry license under the Firearm |
11 | | Concealed Carry Act, unless otherwise authorized by the |
12 | | Firearm Concealed Carry Act; and databases under the |
13 | | Firearm Concealed Carry Act, records of the Concealed Carry |
14 | | Licensing Review Board under the Firearm Concealed Carry |
15 | | Act, and law enforcement agency objections under the |
16 | | Firearm Concealed Carry Act. |
17 | | (w) Personally identifiable information which is |
18 | | exempted from disclosure under subsection (g) of Section |
19 | | 19.1 of the Toll Highway Act. |
20 | | (x) Information which is exempted from disclosure |
21 | | under Section 5-1014.3 of the Counties Code or Section |
22 | | 8-11-21 of the Illinois Municipal Code. |
23 | | (y) Confidential information under the Adult |
24 | | Protective Services Act and its predecessor enabling |
25 | | statute, the Elder Abuse and Neglect Act, including |
26 | | information about the identity and administrative finding |
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1 | | against any caregiver of a verified and substantiated |
2 | | decision of abuse, neglect, or financial exploitation of an |
3 | | eligible adult maintained in the Registry established |
4 | | under Section 7.5 of the Adult Protective Services Act. |
5 | | (z) Records and information provided to a fatality |
6 | | review team or the Illinois Fatality Review Team Advisory |
7 | | Council under Section 15 of the Adult Protective Services |
8 | | Act. |
9 | | (aa) Information which is exempted from disclosure |
10 | | under Section 2.37 of the Wildlife Code. |
11 | | (bb) Information which is or was prohibited from |
12 | | disclosure by the Juvenile Court Act of 1987. |
13 | | (cc) Recordings made under the Law Enforcement |
14 | | Officer-Worn Body Camera Act, except to the extent |
15 | | authorized under that Act. |
16 | | (dd) Information that is prohibited from being |
17 | | disclosed under Section 45 of the Condominium and Common |
18 | | Interest Community Ombudsperson Act. |
19 | | (ee) Information that is exempted from disclosure |
20 | | under Section 30.1 of the Pharmacy Practice Act. |
21 | | (ff) Information that is exempted from disclosure |
22 | | under the Revised Uniform Unclaimed Property Act. |
23 | | (gg) Information that is prohibited from being |
24 | | disclosed under Section 7-603.5 of the Illinois Vehicle |
25 | | Code. |
26 | | (hh) Records that are exempt from disclosure under |
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1 | | Section 1A-16.7 of the Election Code. |
2 | | (ii) Information which is exempted from disclosure |
3 | | under Section 2505-800 of the Department of Revenue Law of |
4 | | the Civil Administrative Code of Illinois. |
5 | | (jj) Information and reports that are required to be |
6 | | submitted to the Department of Labor by registering day and |
7 | | temporary labor service agencies but are exempt from |
8 | | disclosure under subsection (a-1) of Section 45 of the Day |
9 | | and Temporary Labor Services Act. |
10 | | (kk) Information prohibited from disclosure under the |
11 | | Seizure and Forfeiture Reporting Act. |
12 | | (ll) Information the disclosure of which is restricted |
13 | | and exempted under Section 5-30.8 of the Illinois Public |
14 | | Aid Code. |
15 | | (mm) Records that are exempt from disclosure under |
16 | | Section 4.2 of the Crime Victims Compensation Act. |
17 | | (nn) Information that is exempt from disclosure under |
18 | | Section 70 of the Higher Education Student Assistance Act. |
19 | | (oo) Communications, notes, records, and reports |
20 | | arising out of a peer support counseling session prohibited |
21 | | from disclosure under the First Responders Suicide |
22 | | Prevention Act. |
23 | | (pp) Names and all identifying information relating to |
24 | | an employee of an emergency services provider or law |
25 | | enforcement agency under the First Responders Suicide |
26 | | Prevention Act. |
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1 | | (qq) (oo) Information and records held by the |
2 | | Department of Public Health and its authorized |
3 | | representatives collected under the Reproductive Health |
4 | | Act. |
5 | | (rr) (oo) Information that is exempt from disclosure |
6 | | under the Cannabis Regulation and Tax Act. |
7 | | (ss) (oo) Data reported by an employer to the |
8 | | Department of Human Rights pursuant to Section 2-108 of the |
9 | | Illinois Human Rights Act. |
10 | | (tt) (oo) Recordings made under the Children's |
11 | | Advocacy Center Act, except to the extent authorized under |
12 | | that Act. |
13 | | (uu) (oo) Information that is exempt from disclosure |
14 | | under Section 50 of the Sexual Assault Evidence Submission |
15 | | Act. |
16 | | (vv) (oo) Information that is exempt from disclosure |
17 | | under subsections (f) and (j) of Section 5-36 of the |
18 | | Illinois Public Aid Code. |
19 | | (ww) (oo) Information that is exempt from disclosure |
20 | | under Section 16.8 of the State Treasurer Act. |
21 | | (xx) Information that is exempt from disclosure or |
22 | | information that shall not be made public under the |
23 | | Illinois Insurance Code. |
24 | | (Source: P.A. 100-20, eff. 7-1-17; 100-22, eff. 1-1-18; |
25 | | 100-201, eff. 8-18-17; 100-373, eff. 1-1-18; 100-464, eff. |
26 | | 8-28-17; 100-465, eff. 8-31-17; 100-512, eff. 7-1-18; 100-517, |
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1 | | eff. 6-1-18; 100-646, eff. 7-27-18; 100-690, eff. 1-1-19; |
2 | | 100-863, eff. 8-14-18; 100-887, eff. 8-14-18; 101-13, eff. |
3 | | 6-12-19; 101-27, eff. 6-25-19; 101-81, eff. 7-12-19; 101-221, |
4 | | eff. 1-1-20; 101-236, eff. 1-1-20; 101-375, eff. 8-16-19; |
5 | | 101-377, eff. 8-16-19; 101-452, eff. 1-1-20; 101-466, eff. |
6 | | 1-1-20; revised 9-25-19.) |
7 | | Section 10. The Illinois Insurance Code is amended by |
8 | | adding Article VIII.33 as follows: |
9 | | (215 ILCS 5/Art. VIII.33 heading new) |
10 | | ARTICLE VIII 1/3. Corporate Governance Annual Disclosure Law |
11 | | (215 ILCS 5/130.1 new) |
12 | | Sec. 130.1. Short title. This Article may be cited as the |
13 | | Corporate Governance Annual Disclosure Law. |
14 | | (215 ILCS 5/130.2 new) |
15 | | Sec. 130.2. Purpose and scope. The purpose of this Article |
16 | | is to: |
17 | | (1) provide the Director a summary of an insurer's or |
18 | | insurance group's corporate governance structure, |
19 | | policies, and practices to permit the Director to gain and |
20 | | maintain an understanding of the insurer's corporate |
21 | | governance framework; |
22 | | (2) outline the requirements for completing a |
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1 | | corporate governance annual disclosure with the Director; |
2 | | (3) provide for the confidential treatment of the |
3 | | corporate governance annual disclosure and related |
4 | | information that will contain confidential and sensitive |
5 | | information related to an insurer's or insurance group's |
6 | | internal operations and proprietary and trade-secret |
7 | | information that, if made public, could potentially cause |
8 | | the insurer or insurance group competitive harm or |
9 | | disadvantage. |
10 | | Nothing in this Article shall be construed to prescribe or |
11 | | impose corporate governance standards and internal procedures |
12 | | beyond that which is required under applicable State corporate |
13 | | law. Notwithstanding the foregoing, nothing in this Article |
14 | | shall be construed to limit the Director's authority or the |
15 | | rights or obligations of third parties under Sections 131.21, |
16 | | 132 through 132.7, and 401 through 403.
The requirements of |
17 | | this Article apply to all insurers domiciled in this State. |
18 | | (215 ILCS 5/130.3 new) |
19 | | Sec. 130.3. Definitions. As used in this Article: |
20 | | "Director" means the Director of Insurance. |
21 | | "Corporate governance annual disclosure" means a |
22 | | confidential report filed by the insurer or insurance group |
23 | | made in accordance with the requirements of this Article. |
24 | | "Insurance group" means those insurers and affiliates |
25 | | included within an insurance holding company system as defined |
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1 | | in Section 131.1. |
2 | | "Insurer" has the same meaning given to that term in |
3 | | Section 2, except that it does not include agencies, |
4 | | authorities, or instrumentalities of the United States, its |
5 | | possessions and territories, the Commonwealth of Puerto Rico, |
6 | | the District of Columbia, or a state or political subdivision |
7 | | of a state. |
8 | | "ORSA summary report" means the own risk and solvency |
9 | | assessment report filed in accordance with Article VIII 1/4. |
10 | | (215 ILCS 5/130.4 new) |
11 | | Sec. 130.4. Disclosure requirement. |
12 | | (a) An insurer, or the insurance group of which the insurer |
13 | | is a member, shall, no later than June 1 of each calendar year, |
14 | | submit to the Director a corporate governance annual disclosure |
15 | | that contains the information described in subsection (b) of |
16 | | Section 130.5. Notwithstanding any request from the Director |
17 | | made pursuant to subsection (c), if the insurer is a member of |
18 | | an insurance group, the insurer shall submit the report |
19 | | required by this Section to the Director of the lead state for |
20 | | the insurance group, in accordance with the laws of the lead |
21 | | state, as determined by the procedures outlined in the most |
22 | | recent Financial Analysis Handbook adopted by the National |
23 | | Association of Insurance Commissioners. |
24 | | (b) The corporate governance annual disclosure must |
25 | | include a signature of the insurer's or insurance group's chief |
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1 | | executive officer or corporate secretary attesting to the best |
2 | | of that individual's belief and knowledge that the insurer has |
3 | | implemented the corporate governance practices required by |
4 | | this Section and that a copy of the disclosure has been |
5 | | provided to the insurer's board of directors or the appropriate |
6 | | committee thereof. |
7 | | (c) An insurer not required to submit a corporate |
8 | | governance annual disclosure under this Section shall do so |
9 | | upon the Director's request. |
10 | | (d) For purposes of completing the corporate governance |
11 | | annual disclosure, the insurer or insurance group may provide |
12 | | information regarding corporate governance at the ultimate |
13 | | controlling parent level, an intermediate holding company |
14 | | level, or the individual legal entity level, depending upon how |
15 | | the insurer or insurance group has structured its system of |
16 | | corporate governance. The insurer or insurance group is |
17 | | encouraged to make the corporate governance annual disclosure |
18 | | at the level at which the insurer's or insurance group's risk |
19 | | appetite is determined, the level at which the earnings, |
20 | | capital, liquidity, operations, and reputation of the insurer |
21 | | are overseen collectively and at which the supervision of those |
22 | | factors is coordinated and exercised, or the level at which |
23 | | legal liability for failure of general corporate governance |
24 | | duties would be placed. If the insurer or insurance group |
25 | | determines the level of reporting based on these criteria, it |
26 | | shall indicate which of the 3 criteria was used to determine |
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1 | | the level of reporting and explain any subsequent changes in |
2 | | the level of reporting. |
3 | | (e) The review of the corporate governance annual |
4 | | disclosure and any additional requests for information shall be |
5 | | made through the lead state as determined by the procedures |
6 | | within the most recent Financial Analysis Handbook adopted by |
7 | | the National Association of Insurance Commissioners. |
8 | | (f) Insurers providing information substantially similar |
9 | | to the information required by this Article in other documents |
10 | | provided to the Director, including proxy statements filed in |
11 | | conjunction with the requirements of Section 131.13 or other |
12 | | State or federal filings provided to the Department, are not |
13 | | required to duplicate that information in the corporate |
14 | | governance annual disclosure but are only required to |
15 | | cross-reference the document in which the information is |
16 | | included. |
17 | | (215 ILCS 5/130.5 new) |
18 | | Sec. 130.5. Contents of corporate governance annual |
19 | | disclosure. |
20 | | (a) The insurer or insurance group has discretion over the |
21 | | responses to the corporate governance annual disclosure |
22 | | inquiries if the corporate governance annual disclosure |
23 | | contains the material information necessary to permit the |
24 | | Director to gain an understanding of the insurer's or insurance |
25 | | group's corporate governance structure, policies, and |
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1 | | practices. The Director may request additional information |
2 | | that he or she deems material and necessary to provide the |
3 | | Director with a clear understanding of the corporate governance |
4 | | policies, the reporting or information system, or controls |
5 | | implementing those policies. |
6 | | (b) Notwithstanding subsection (a), the corporate |
7 | | governance annual disclosure shall be prepared in a manner |
8 | | consistent with rules adopted by the Director. Documentation |
9 | | and supporting information shall be maintained and made |
10 | | available upon examination or upon the request of the Director. |
11 | | (c) The Director may retain, at the insurer's expense, |
12 | | third-party consultants, including attorneys, actuaries, |
13 | | accountants, and other experts not otherwise a part of the |
14 | | Director's staff, as may be reasonably necessary to assist the |
15 | | Director in reviewing the corporate governance annual |
16 | | disclosure and related information or the insurer's compliance |
17 | | with this Article. Any persons retained shall be under the |
18 | | direction and control of the Director and shall act only in an |
19 | | advisory capacity. |
20 | | (215 ILCS 5/130.6 new) |
21 | | Sec. 130.6. Confidentiality. |
22 | | (a) Documents, materials, or other information, including |
23 | | the corporate governance annual disclosure, in the possession |
24 | | or control of the Department that are obtained by, created by, |
25 | | or disclosed to the Director or any other person under this |
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1 | | Article are recognized by this State as being proprietary and |
2 | | to contain trade secrets. All such documents, materials, or |
3 | | other information shall be confidential by law and privileged, |
4 | | shall not be subject to the Freedom of Information Act, shall |
5 | | not be subject to subpoena, and shall not be subject to |
6 | | discovery or admissible in evidence in any private civil |
7 | | action. However, the Director is authorized to use the |
8 | | documents, materials, or other information in furtherance of |
9 | | any regulatory or legal action brought as a part of the |
10 | | Director's official duties. The Director shall not otherwise |
11 | | make the documents, materials, or other information public |
12 | | without the prior written consent of the insurer. |
13 | | (b) Neither the Director nor any person who received |
14 | | documents, materials, or other corporate governance annual |
15 | | disclosure-related information through examination or |
16 | | otherwise, while acting under the authority of the Director or |
17 | | with whom such documents, materials, or other information are |
18 | | shared pursuant to this Article, shall be permitted or required |
19 | | to testify in any private civil action concerning any |
20 | | confidential documents, materials, or information subject to |
21 | | subsection (a). |
22 | | (c) In order to assist in the performance of the Director's |
23 | | regulatory duties, the Director may: |
24 | | (1) upon request, share documents, materials, or other |
25 | | corporate governance annual disclosure-related |
26 | | information, including the confidential and privileged |
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1 | | documents, materials, and information subject to |
2 | | subsection (a), including proprietary and trade-secret |
3 | | documents and materials with other state, federal, and |
4 | | international financial regulatory agencies, including |
5 | | members of any supervisory college as defined in subsection |
6 | | (c) of Section 131.20, with the National Association of |
7 | | Insurance Commissioners, and with third-party consultants, |
8 | | if the recipient agrees in writing to maintain the |
9 | | confidentiality and privileged status of the corporate |
10 | | governance annual disclosure-related documents, materials, |
11 | | or other information and has verified in writing the legal |
12 | | authority to maintain confidentiality; and |
13 | | (2) receive documents, materials, or other corporate |
14 | | governance annual disclosure-related information, |
15 | | including otherwise confidential and privileged documents, |
16 | | materials, and information, including proprietary and |
17 | | trade-secret information and documents from regulatory |
18 | | officials of other state, federal, and international |
19 | | financial regulatory agencies, including members of any |
20 | | supervisory college as defined in subsection (c) of Section |
21 | | 131.20, and from the National Association of Insurance |
22 | | Commissioners, and shall maintain as confidential or |
23 | | privileged any documents, materials, or information |
24 | | received with notice or the understanding that it is |
25 | | confidential or privileged under the laws of the |
26 | | jurisdiction that is the source of the document, material, |
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1 | | or information. |
2 | | (d) A written agreement with the National Association of |
3 | | Insurance Commissioners or a third-party consultant governing |
4 | | sharing and use of information provided pursuant to this |
5 | | Article shall: |
6 | | (1) include specific procedures and protocols for |
7 | | maintaining the confidentiality and security of corporate |
8 | | governance annual disclosure-related information shared |
9 | | with the National Association of Insurance Commissioners |
10 | | or a third-party consultant pursuant to this Article, |
11 | | including procedures and protocols for sharing by the |
12 | | National Association of Insurance Commissioners only with |
13 | | other state regulators from states in which the insurance |
14 | | group has domiciled insurers; the agreement shall provide |
15 | | that the recipient agrees in writing to maintain the |
16 | | confidentiality and privileged status of the corporate |
17 | | governance annual disclosure-related documents, materials, |
18 | | or other information and has verified in writing the legal |
19 | | authority to maintain confidentiality; |
20 | | (2) specify that ownership of the corporate governance |
21 | | annual disclosure-related information shared with the |
22 | | National Association of Insurance Commissioners or a |
23 | | third-party consultant remains with the Director and that |
24 | | the National Association of Insurance Commissioners' or |
25 | | third-party consultant's use of the information is subject |
26 | | to the direction of the Director; |
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1 | | (3) prohibit the National Association of Insurance |
2 | | Commissioners or a third-party consultant from storing the |
3 | | information shared pursuant to this Article in a permanent |
4 | | database after the underlying analysis is completed; |
5 | | (4) require the National Association of Insurance |
6 | | Commissioners or a third-party consultant to provide |
7 | | prompt notice to the Director and to the insurer or |
8 | | insurance group regarding any subpoena, request for |
9 | | disclosure, or request for production of the insurer's or |
10 | | insurance group's corporate governance annual |
11 | | disclosure-related information; |
12 | | (5) require the National Association of Insurance |
13 | | Commissioners or a third-party consultant to consent to |
14 | | intervention by an insurer in any judicial or |
15 | | administrative action in which the National Association of |
16 | | Insurance Commissioners or a third-party consultant may be |
17 | | required to disclose confidential information about the |
18 | | insurer shared with the National Association of Insurance |
19 | | Commissioners or a third-party consultant pursuant to this |
20 | | Article; and |
21 | | (6) require the National Association of Insurance |
22 | | Commissioners or a third-party consultant to obtain |
23 | | written consent of the insurer before making any of the |
24 | | insurer's corporate governance annual disclosure-related |
25 | | information public. |
26 | | (e) The sharing of information and documents by the |
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1 | | Director pursuant to this Article shall not constitute a |
2 | | delegation of regulatory authority or rulemaking, and the |
3 | | Director is solely responsible for the administration, |
4 | | execution, and enforcement of this Article. |
5 | | (f) No waiver of any applicable privilege or claim of |
6 | | confidentiality in the documents, proprietary and trade-secret |
7 | | materials, or other corporate governance annual |
8 | | disclosure-related information shall occur as a result of |
9 | | disclosure of such information or documents to the Director |
10 | | under this Section or as a result of sharing as authorized in |
11 | | this Article. |
12 | | (g) Documents, materials, or other information in the |
13 | | possession or control of the National Association of Insurance |
14 | | Commissioners or any third-party consultants pursuant to this |
15 | | Article shall be confidential by law and privileged, shall not |
16 | | be subject to the Freedom of Information Act, shall not be |
17 | | subject to subpoena, and shall not be subject to discovery or |
18 | | admissible in evidence in any private civil action. |
19 | | (215 ILCS 5/130.7 new) |
20 | | Sec. 130.7. Sanctions. Any insurer failing, without just |
21 | | cause, to timely file the corporate governance annual |
22 | | disclosure as required in this Article shall be required, after |
23 | | notice and a hearing, to pay a penalty of $200 for each day's |
24 | | delay, to be recovered by the Director. Any penalty recovered |
25 | | shall be paid into the General Revenue Fund. The Director may |