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1 | | AN ACT concerning regulation. |
2 | | Be it enacted by the People of the State of Illinois, |
3 | | represented in the General Assembly: |
4 | | Section 5. The Illinois Insurance Code is amended by |
5 | | changing Sections 132, 132.5, 155.35, 402, 408, 511.109, |
6 | | 512-3, 512-5, and 513b3 and by adding Section 512-11 as |
7 | | follows: |
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8 | | (215 ILCS 5/132) (from Ch. 73, par. 744) |
9 | | Sec. 132. Market conduct actions and market analysis and |
10 | | non-financial examinations . |
11 | | (a) Definitions. As used in this Section: |
12 | | "Data call" means a written solicitation by the Director |
13 | | to 2 or more regulated companies or persons seeking existing |
14 | | data or other existing information to be provided within a |
15 | | reasonable time period for a narrow and targeted regulatory |
16 | | oversight purpose for market analysis. "Data call" does not |
17 | | include an information request in a market conduct action or |
18 | | any data or information that the Director shall or may |
19 | | specifically require under any other law, except as provided |
20 | | by the other law. |
21 | | "Desk examination" means an examination that is conducted |
22 | | by market conduct surveillance personnel at a location other |
23 | | than the regulated company's or person's premises. "Desk |
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1 | | examination" includes an examination performed at the |
2 | | Department's offices with the company or person providing |
3 | | requested documents by hard copy, microfiche, or discs or |
4 | | other electronic media for review without an on-site |
5 | | examination. |
6 | | "Market analysis" means a process whereby market conduct |
7 | | surveillance personnel collect and analyze information from |
8 | | filed schedules, surveys, required reports, data calls, and |
9 | | other sources to develop a baseline understanding of the |
10 | | marketplace and to identify patterns or practices of regulated |
11 | | persons that deviate significantly from the norm or that may |
12 | | pose a potential risk to insurance consumers. |
13 | | "Market conduct action" means any activity, other than |
14 | | market analysis, that the Director may initiate to assess and |
15 | | address the market and nonfinancial practices of regulated |
16 | | persons, including market conduct examinations. The |
17 | | Department's consumer complaint process outlined in 50 Ill. |
18 | | Adm. Code 926 is not a market conduct action for purposes of |
19 | | this Section; however, the Department may initiate market |
20 | | conduct actions based on information gathered during that |
21 | | process. "Market conduct action" includes: |
22 | | (1) correspondence with the company or person; |
23 | | (2) interviews with the company or person; |
24 | | (3) information gathering; |
25 | | (4) policy and procedure reviews; |
26 | | (5) interrogatories; |
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1 | | (6) review of company or person self-evaluations and |
2 | | voluntary compliance programs; |
3 | | (7) self-audits; and |
4 | | (8) market conduct examinations. |
5 | | "Market conduct examination" or "examination" means any |
6 | | type of examination, other than a financial examination, that |
7 | | assesses a regulated person's compliance with the laws, rules, |
8 | | and regulations applicable to the examinee. "Market conduct |
9 | | examination" includes comprehensive examinations, targeted |
10 | | examinations, and follow-up examinations, which may be |
11 | | conducted as desk examinations, on-site examinations, or a |
12 | | combination of those 2 methods. |
13 | | "Market conduct surveillance" means market analysis or a |
14 | | market conduct action. |
15 | | "Market conduct surveillance personnel" means those |
16 | | individuals employed or retained by the Department and |
17 | | designated by the Director to collect, analyze, review, or act |
18 | | on information in the insurance marketplace that identifies |
19 | | patterns or practices of persons subject to the Director's |
20 | | jurisdiction. "Market conduct surveillance personnel" includes |
21 | | all persons identified as an examiner in the insurance laws or |
22 | | rules of this State if the Director has designated them to |
23 | | assist her or him in ascertaining the nonfinancial business |
24 | | practices, performance, and operations of a company or person |
25 | | subject to the Director's jurisdiction. |
26 | | "On-site examination" means an examination conducted at |
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1 | | the company's or person's home office or the location where |
2 | | the records under review are stored. |
3 | | "SOFR rate" means the Secured Overnight Financing Rate |
4 | | published by the Federal Reserve Bank of New York every |
5 | | business day. |
6 | | (b) Companies and persons subject to surveillance. The |
7 | | Director, for the purposes of ascertaining the nonfinancial |
8 | | business practices, performance, and operations of any person |
9 | | subject to the Director's jurisdiction or within the |
10 | | marketplace, may engage in market conduct actions or market |
11 | | analysis relating to: |
12 | | (1) any company transacting or being organized to |
13 | | transact business in this State; |
14 | | (2) any person engaged in or proposing to be engaged |
15 | | in the organization, promotion, or solicitation of shares |
16 | | or capital contributions to or aiding in the formation of |
17 | | a company; |
18 | | (3) any person having a written or oral contract |
19 | | pertaining to the management or control of a company as |
20 | | general agent, managing agent, or attorney-in-fact; |
21 | | (4) any licensed or registered producer, firm, |
22 | | pharmacy benefit manager, administrator, or any person |
23 | | making application for any license, certificate, or |
24 | | registration; |
25 | | (5) any person engaged in the business of adjusting |
26 | | losses or financing premiums; or |
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1 | | (6) any person, organization, trust, or corporation |
2 | | having custody or control of information reasonably |
3 | | related to the operation, performance, or conduct of a |
4 | | company or person subject to the Director's jurisdiction, |
5 | | but only as to the operation, performance, or conduct of a |
6 | | company or person subject to the Director's jurisdiction. |
7 | | (c) Market analysis and market conduct actions. |
8 | | (1) The Director may perform market analysis by |
9 | | gathering and analyzing information from data currently |
10 | | available to the Director, information from surveys, data |
11 | | call responses, or reports that are submitted to the |
12 | | Director, information collected by the NAIC, and |
13 | | information from a variety of other sources to develop a |
14 | | baseline understanding of the marketplace and to identify |
15 | | for further review companies or practices that deviate |
16 | | from the norm or that may pose a potential risk to |
17 | | insurance consumers. The Director shall use the most |
18 | | recent NAIC Market Regulation Handbook as a guide in |
19 | | performing market analysis. The Director may also employ |
20 | | other guidelines or procedures as the Director may deem |
21 | | appropriate. |
22 | | (2) The Director may initiate a market conduct action |
23 | | subject to the following: |
24 | | (A) If the Director determines that further |
25 | | inquiry into a particular person or practice is |
26 | | needed, then the Director may consider undertaking a |
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1 | | market conduct action. The Director shall inform the |
2 | | examinee of the initiation of the market conduct |
3 | | action and shall use the most recent NAIC Market |
4 | | Regulation Handbook as a guide in performing the |
5 | | market conduct action. The Director may also employ |
6 | | other guidelines or procedures as the Director may |
7 | | deem appropriate. |
8 | | (B) For an examination, the Director shall conduct |
9 | | a pre-examination conference with the examinee to |
10 | | clarify expectations before commencement of the |
11 | | examination. At the pre-examination conference, the |
12 | | Director or the market conduct surveillance personnel |
13 | | shall disclose the basis of the examination, including |
14 | | the statutes, regulations, or business practices at |
15 | | issue. The Director shall provide at least 30 days' |
16 | | advance notice of the date of the pre-examination |
17 | | conference unless circumstances warrant that the |
18 | | examination proceed more quickly. |
19 | | (C) The Director may coordinate a market conduct |
20 | | action and findings of this State with market conduct |
21 | | actions and findings of other states. |
22 | | (3) Nothing in this Section requires the Director to |
23 | | undertake market analysis before initiating any market |
24 | | conduct action. |
25 | | (4) Nothing in this Section restricts the Director to |
26 | | the type of market conduct action he or she initially |
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1 | | selected. |
2 | | (5) A regulated person is required to respond to a |
3 | | market analysis data call or to an information request in |
4 | | a market conduct action on the terms and conditions |
5 | | established by the Director. The Department shall |
6 | | establish reasonable timelines that are commensurate with |
7 | | the volume and nature of the data required to be collected |
8 | | in the information request. |
9 | | (6) Without limiting the contents of any examination |
10 | | report, market conduct actions taken as a result of a |
11 | | market analysis shall focus primarily on the general |
12 | | business practices and compliance activities of companies |
13 | | or persons rather than identifying infrequent or |
14 | | unintentional random errors that do not cause significant |
15 | | consumer harm. The Director may give a company or person |
16 | | an opportunity to resolve matters that are identified as a |
17 | | result of a market analysis to the Director's satisfaction |
18 | | before undertaking a market conduct action against the |
19 | | company or person. |
20 | | (d) Access to books and records. Every examinee and its |
21 | | officers, directors, and agents must provide to the Director |
22 | | convenient and free access at all reasonable hours at its |
23 | | office or location to all books, records, and documents and |
24 | | any or all papers relating to the business, performance, |
25 | | operations, and affairs of the examinee. The officers, |
26 | | directors, and agents of the examinee must facilitate the |
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1 | | market conduct action and aid in the action so far as it is in |
2 | | their power to do so. The Director and any authorized market |
3 | | conduct surveillance personnel have the power to administer |
4 | | oaths and examine under oath any person relevant to the |
5 | | business of the examinee. A failure to produce requested |
6 | | books, records, or documents by the deadline shall not be a |
7 | | violation until after the later of: |
8 | | (1) 5 business days after the initial response |
9 | | deadline set by the Director or authorized personnel; or |
10 | | (2) an extended deadline granted by the Director or |
11 | | authorized personnel. |
12 | | (e) Examination report. The market conduct surveillance |
13 | | personnel designated by the Director under Section 402 must |
14 | | make a full and true report of every examination made by them |
15 | | that contains only facts ascertained from the books, papers, |
16 | | records, documents, and other evidence obtained by |
17 | | investigation and examined by them or ascertained from the |
18 | | testimony of officers, agents, or other persons examined under |
19 | | oath concerning the business, affairs, conduct, and |
20 | | performance of the examinee. The report of examination must be |
21 | | verified by the oath of the examiner in charge thereof, and |
22 | | when so verified is prima facie evidence in any action or |
23 | | proceeding in the name of the State against the examinee, its |
24 | | officers, directors, or agents upon the facts stated therein. |
25 | | (f) Examinee response to examination report. The |
26 | | Department and the examinee shall comply with the following |
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1 | | timeline, unless a mutual agreement is reached to modify the |
2 | | timeline: |
3 | | (1) The Department shall deliver a draft report to the |
4 | | examinee as soon as reasonably practicable. Nothing in |
5 | | this Section prevents the Department from sharing an |
6 | | earlier draft of the report with the examinee before |
7 | | confirming that the examination is completed. |
8 | | (2) If the examinee chooses to respond with written |
9 | | submissions or rebuttals, then the examinee must do so |
10 | | within 30 days after receipt of any draft report delivered |
11 | | after the completion of the examination. |
12 | | (3) As soon as reasonably practicable after receipt of |
13 | | any written submissions or rebuttals, the Department shall |
14 | | issue a final report. Whenever the Department has made |
15 | | substantive changes to a previously shared draft report, |
16 | | unless those changes remove part or all of an alleged |
17 | | violation or were proposed by the examinee, the Department |
18 | | shall deliver the revised version to the examinee as a new |
19 | | draft and shall allow the examinee 30 days to respond |
20 | | before the Department issues a final report. |
21 | | (4) The examinee shall, within 10 days after the |
22 | | issuance of the final report, accept the final report or |
23 | | request a hearing in writing, unless granted an extension |
24 | | by mutual agreement. Failure to take either action within |
25 | | 10 days or the mutually agreed extension shall be deemed |
26 | | an acceptance of the final report. If the examinee accepts |
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1 | | the examination report, the Director shall continue to |
2 | | hold the content of the examination report as private and |
3 | | confidential for a period of 30 days. Thereafter, the |
4 | | Director shall open the final report for public |
5 | | inspection. |
6 | | (g) Hearing; final examination report. Notwithstanding |
7 | | anything to the contrary in this Code or Department rules, if |
8 | | the examinee requests a hearing, then the following procedures |
9 | | apply: |
10 | | (1) The examinee must request the hearing in writing |
11 | | and must specify the issues in the final report that the |
12 | | examinee is challenging. The examinee is limited to |
13 | | challenging the issues that were previously challenged in |
14 | | the examinee's written submission and rebuttal or |
15 | | supplemental submission and rebuttal pursuant to |
16 | | paragraphs (2) and (3) of subsection (f). |
17 | | (2) Except as permitted in paragraphs (3) and (8) of |
18 | | this subsection, the hearing shall be limited to the |
19 | | written arguments submitted by the parties to the |
20 | | designated hearing officer. The designated hearing officer |
21 | | may, however, grant a live hearing upon the request of |
22 | | either party. |
23 | | (3) Discovery is limited to the market conduct |
24 | | surveillance personnel's work papers that are relevant to |
25 | | the issues the examinee is challenging. The relevant |
26 | | market conduct surveillance personnel's work papers shall |
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1 | | be admitted into the record. No other forms of discovery, |
2 | | including depositions and interrogatories, are allowed, |
3 | | except upon written agreement of the examinee and the |
4 | | Department when necessary to conduct a fair hearing or as |
5 | | otherwise provided in this subsection. |
6 | | (4) Only the examinee and the Department may submit |
7 | | written arguments. |
8 | | (5) The examinee must submit its written argument and |
9 | | any supporting evidence within 30 days after the |
10 | | Department serves a formal notice of hearing. |
11 | | (6) The Department must submit its written response |
12 | | and any supporting evidence within 30 days after the |
13 | | examinee submits its written argument. |
14 | | (7) The designated hearing officer may allow |
15 | | additional written submissions if necessary or useful to |
16 | | the fair resolution of the hearing. |
17 | | (8) If either the examinee or the Department submit |
18 | | written testimony or affidavits, then the opposing party |
19 | | shall be given the opportunity to cross-examine the |
20 | | witness and to submit the cross-examination to the hearing |
21 | | officer before a decision. |
22 | | (9) The Director shall issue a decision accompanied by |
23 | | findings and conclusions. The Director's order is a final |
24 | | administrative decision and shall be served upon the |
25 | | examinee together with a copy of the final report within |
26 | | 90 days after the conclusion of the hearing. The hearing |
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1 | | is deemed concluded on the later of the last date of any |
2 | | live hearing or the final deadline date for written |
3 | | submissions to the hearing officer, including any |
4 | | continuances or supplemental briefings permitted by the |
5 | | hearing officer. |
6 | | (10) Any portion of the final examination report that |
7 | | was not challenged by the examinee is incorporated into |
8 | | the decision of the Director. |
9 | | (11) Findings of fact and conclusions of law in the |
10 | | Director's final administrative decision are prima facie |
11 | | evidence in any legal or regulatory action. |
12 | | (12) If an examinee has requested a hearing, then the |
13 | | Director shall continue to hold the final report and any |
14 | | related decision as private and confidential for a period |
15 | | of 49 days after the final administrative decision. After |
16 | | the 49-day period expires, the Director shall open the |
17 | | final report and any related decision for public |
18 | | inspection if a court of competent jurisdiction has not |
19 | | stayed its publication. |
20 | | (h) Disclosure. So long as the recipient agrees to and |
21 | | verifies in writing its legal authority to hold the |
22 | | information confidential in a manner consistent with this |
23 | | Section, nothing in this Section prevents the Director from |
24 | | disclosing at any time the content of an examination report, |
25 | | preliminary examination report, or results, or any matter |
26 | | relating to a report or results, to: |
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1 | | (1) the insurance regulatory authorities of any other |
2 | | state; or |
3 | | (2) any agency or office of the federal government. |
4 | | (i) Confidentiality. |
5 | | (1) The Director and any other person in the course of |
6 | | market conduct surveillance shall keep confidential all |
7 | | documents, including working papers, third-party models, |
8 | | or products; complaint logs; copies of any documents |
9 | | created, produced, obtained by, or disclosed to the |
10 | | Director, market conduct surveillance personnel, or any |
11 | | other person in the course of market conduct surveillance |
12 | | conducted pursuant to this Section; and all documents |
13 | | obtained by the NAIC pursuant to this Section. The |
14 | | documents shall remain confidential after the termination |
15 | | of the market conduct surveillance, are not subject to |
16 | | subpoena, are not subject to discovery or admissible as |
17 | | evidence in private civil litigation, are not subject to |
18 | | disclosure under the Freedom of Information Act, and must |
19 | | not be made public at any time or used by the Director or |
20 | | any other person, except as provided in paragraphs (3), |
21 | | (4), and (6) of this subsection (i) and in subsection (k). |
22 | | (2) The Director and any other person in the course of |
23 | | market conduct surveillance shall keep confidential any |
24 | | self-evaluation or voluntary compliance program documents |
25 | | disclosed to the Director or other person by an examinee |
26 | | and the data collected via the NAIC market conduct annual |
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1 | | statement. The documents are not subject to subpoena, are |
2 | | not subject to discovery or admissible as evidence in |
3 | | private civil litigation, are not subject to disclosure |
4 | | under the Freedom of Information Act, and they shall not |
5 | | be made public or used by the Director or any other person, |
6 | | except as provided in paragraphs (3) and (4) of this |
7 | | subsection (i), in subsection (k), or in Section 155.35. |
8 | | Nothing in this Section shall supersede the restrictions |
9 | | on disclosure under Section 155.35. |
10 | | (3) Notwithstanding paragraphs (1) and (2) of this |
11 | | subsection (i), and consistent with paragraph (5) of this |
12 | | subsection (i), in order to assist in the performance of |
13 | | the Director's duties, the Director may: |
14 | | (A) share documents, materials, communications, or |
15 | | other information, including the confidential and |
16 | | privileged documents, materials, or information |
17 | | described in this subsection (i), with other State, |
18 | | federal, alien, and international regulatory agencies |
19 | | and law enforcement authorities and the NAIC, its |
20 | | affiliates, and subsidiaries, if the recipient agrees |
21 | | to and verifies in writing its legal authority to |
22 | | maintain the confidentiality and privileged status of |
23 | | the document, material, communication, or other |
24 | | information; |
25 | | (B) receive documents, materials, communications, |
26 | | or information, including otherwise confidential and |
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1 | | privileged documents, materials, or information, from |
2 | | the NAIC and its affiliates or subsidiaries, and from |
3 | | regulatory and law enforcement officials of other |
4 | | State, federal, alien, or international jurisdictions, |
5 | | authorities, and agencies, and shall maintain as |
6 | | confidential or privileged any document, material, |
7 | | communication, or information received with notice or |
8 | | the understanding that it is confidential or |
9 | | privileged under the laws of the jurisdiction that is |
10 | | the source of the document, material, communication, |
11 | | or information; and |
12 | | (C) enter into agreements governing the sharing |
13 | | and use of information consistent with this Section. |
14 | | (4) Nothing in this Section limits: |
15 | | (A) the Director's authority to use, if consistent |
16 | | with subsection (5) of Section 188.1, as applicable, |
17 | | any final or preliminary examination report, any |
18 | | market conduct surveillance or examinee work papers or |
19 | | other documents, or any other information discovered |
20 | | or developed during the course of any market conduct |
21 | | surveillance in the furtherance of any legal or |
22 | | regulatory action initiated by the Director that the |
23 | | Director may, in the Director's sole discretion, deem |
24 | | appropriate; however, confidential or privileged |
25 | | information about a company or person that is used in |
26 | | the legal or regulatory action shall not be made |
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1 | | public except by order of a court of competent |
2 | | jurisdiction or with the written consent of the |
3 | | company or person; or |
4 | | (B) the ability of an examinee to conduct |
5 | | discovery in accordance with paragraph (3) of |
6 | | subsection (g). |
7 | | (5) Disclosure to or by the Director of documents, |
8 | | materials, communications, or information required as part |
9 | | of any type of market conduct surveillance does not waive |
10 | | any applicable privilege or claim of confidentiality in |
11 | | the documents, materials, communications, or information. |
12 | | (6) Notwithstanding the confidentiality requirements |
13 | | of this Section or otherwise imposed by State law, if the |
14 | | Director performs a data call, other than the collection |
15 | | of data for the NAIC market conduct annual statement, the |
16 | | Director may make the results of the data call available |
17 | | for public inspection in an aggregated format that does |
18 | | not disclose information or data attributed to any |
19 | | specific company or person, including the name of any |
20 | | company or person who responded to the data call, so long |
21 | | as the Director provides all companies or persons that |
22 | | responded to the data call 15 days' notice identifying the |
23 | | information to be publicly released. Nothing in this |
24 | | Section requires the Director to publish results from any |
25 | | data call. |
26 | | (j) Corrective actions. |
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1 | | (1) As a result of any market conduct action, the |
2 | | Director may take any action the Director considers |
3 | | necessary or appropriate in accordance with the report of |
4 | | examination or any hearing thereon for acts in violation |
5 | | of any law, rule, or prior lawful order of the Director. No |
6 | | corrective action, including a penalty, shall be ordered |
7 | | with respect to violations in transactions with consumers |
8 | | or other entities that are isolated occurrences or that |
9 | | occur with such low frequency as to fall below a |
10 | | reasonable margin of error. Such actions include, but are |
11 | | not limited to: |
12 | | (A) requiring the regulated person to undertake |
13 | | corrective actions to cease and desist an identified |
14 | | violation or institute processes and practices to |
15 | | comply with applicable standards; |
16 | | (B) requiring reimbursement or restitution of any |
17 | | actual losses or damages to persons harmed by the |
18 | | regulated person's violation with interest from the |
19 | | date that the actual loss or damage was incurred, |
20 | | which shall be calculated at the SOFR rate applicable |
21 | | on the date that the actual loss or damage was incurred |
22 | | plus 2%; and |
23 | | (C) imposing civil penalties as provided in this |
24 | | subsection (j). |
25 | | (2) The Director may order a penalty of up to $2,000 |
26 | | for each violation of any law, rule, or prior lawful order |
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1 | | of the Director. Any failure to respond to an information |
2 | | request in a market conduct action or violation of |
3 | | subsection (d) may carry a fine of up to $1,000 per day up |
4 | | to a maximum of $50,000. Fines and penalties shall be |
5 | | consistent, reasonable, and justifiable, and the Director |
6 | | may consider reasonable criteria in ordering the fines and |
7 | | penalties, including, but not limited to, consumer harm, |
8 | | the intentionality of any violations, or remedial actions |
9 | | already undertaken by the examinee. The Director shall |
10 | | communicate to the examinee the basis for any assessed |
11 | | fine or penalty. |
12 | | (3) If any other provision of this Code or any other |
13 | | law or rule under the Director's jurisdiction prescribes |
14 | | an amount or range of monetary penalty for a violation of a |
15 | | particular statute or rule or a maximum penalty in the |
16 | | aggregate for repeated violations, the Director shall |
17 | | assess penalties pursuant to the terms of the statute or |
18 | | rule allowing the largest penalty. |
19 | | (4) If any other provision of this Code or any other |
20 | | law or rule under the Director's jurisdiction prescribes |
21 | | or specifies a method by which the Director is to |
22 | | determine a violation, then compliance with the process |
23 | | set forth herein shall be deemed to comply with the method |
24 | | prescribed or specified in the other provision. |
25 | | (5) If the Director imposes any sanctions or |
26 | | corrective actions described in subparagraphs (A) through |
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1 | | (C) of paragraph (1) of this subsection (j) based on the |
2 | | final report, the Director shall include those actions in |
3 | | a proposed stipulation and consent order enclosed with the |
4 | | final report issued to the examinee under subsection (f). |
5 | | The examinee shall have 10 days to sign the order or |
6 | | request a hearing in writing on the actions proposed in |
7 | | the order regardless of whether the examinee requests a |
8 | | hearing on the contents of the report under subsection |
9 | | (f). If the examinee does not sign the order or request a |
10 | | hearing on the proposed actions or the final report within |
11 | | 10 days, the Director may issue a final order imposing the |
12 | | sanctions or corrective actions. Nothing in this Section |
13 | | prevents the Department from sharing an earlier draft of |
14 | | the proposed order with the examinee before issuing the |
15 | | final report. |
16 | | (6) If the examinee accepts the order and the final |
17 | | report, the Director shall hold the content of the order |
18 | | and report as private and confidential for a period of 30 |
19 | | days. Thereafter, the Director shall open the order and |
20 | | report for public inspection. |
21 | | (7) If the examinee makes a timely request for a |
22 | | hearing on the order, the request must specify the |
23 | | sanctions or corrective actions in the order that the |
24 | | examinee is challenging. Any hearing shall follow the |
25 | | procedures set forth in paragraphs (2) through (7) of |
26 | | subsection (g). |
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1 | | (8) If the examinee has also requested a hearing on |
2 | | the contents of the report, then that hearing shall be |
3 | | consolidated with the hearing on the order. The Director |
4 | | shall not impose sanctions or corrective actions under |
5 | | this Section until the conclusion of the hearing. |
6 | | (9) The Director shall issue a decision accompanied by |
7 | | findings and conclusions along with any corrective actions |
8 | | or sanctions. Any sanctions or corrective actions shall be |
9 | | based on the final report accepted by the examinee or |
10 | | adopted by the Director under paragraph (9) of subsection |
11 | | (g). The Director's order is a final administrative |
12 | | decision and shall be served upon the examinee together |
13 | | with a copy of the final report within 90 days after the |
14 | | conclusion of the hearing or within 10 days after the |
15 | | examinee's acceptance of the proposed order and final |
16 | | report, as applicable. The hearing is deemed concluded on |
17 | | the later of the last date of any live hearing or the final |
18 | | deadline date for written submissions to the hearing |
19 | | officer, including any continuances or supplemental |
20 | | briefings permitted by the hearing officer. |
21 | | (10) If an examinee has requested a hearing under this |
22 | | subsection (i), the Director shall continue to hold the |
23 | | final order and examination report as private and |
24 | | confidential for a period of 49 days after the final |
25 | | administrative decision. After the 49-day period expires, |
26 | | the Director shall open the final order and examination |
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1 | | report if a court of competent jurisdiction has not stayed |
2 | | their publication. |
3 | | (k) National market conduct databases. The Director shall |
4 | | collect and report market data to the NAIC's market |
5 | | information systems, including, but not limited to, the |
6 | | Complaint Database System, the Examination Tracking System, |
7 | | and the Regulatory Information Retrieval System, or other |
8 | | successor NAIC products as determined by the Director. |
9 | | Information collected and maintained by the Department for |
10 | | inclusion in these NAIC market information systems shall be |
11 | | compiled in a manner that meets the requirements of the NAIC. |
12 | | Confidential or privileged information collected, reported, or |
13 | | maintained under this subsection (k) shall be subject to the |
14 | | protections and restrictions on disclosure in subsection (i). |
15 | | (l) Immunity of market conduct surveillance personnel. |
16 | | (1) No cause of action shall arise nor shall any |
17 | | liability be imposed against the Director, the Director's |
18 | | authorized representatives, market conduct surveillance |
19 | | personnel, or an examiner appointed by the Director for |
20 | | any statements made or conduct performed in good faith |
21 | | while carrying out the provisions of this Section. |
22 | | (2) No cause of action shall arise nor shall any |
23 | | liability be imposed against any person for the act of |
24 | | communicating or delivering information or data to the |
25 | | Director, the Director's authorized representative, market |
26 | | conduct surveillance personnel, or examiner pursuant to an |
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1 | | examination made under this Section, if the act of |
2 | | communication or delivery was performed in good faith and |
3 | | without fraudulent intent or the intent to deceive. |
4 | | (3) A person identified in paragraph (1) of this |
5 | | subsection (l) shall be entitled to an award of attorney's |
6 | | fees and costs if he or she is the prevailing party in a |
7 | | civil cause of action for libel, slander, or any other |
8 | | relevant tort arising out of activities in carrying out |
9 | | the provisions of this Section and the party bringing the |
10 | | action was not substantially justified in doing so. As |
11 | | used in this paragraph, a proceeding is substantially |
12 | | justified if it had a reasonable basis in law or fact at |
13 | | the time it was initiated. |
14 | | (4) This subsection (l) does not abrogate or modify in |
15 | | any way any common law or statutory privilege or immunity |
16 | | heretofore enjoyed by any person identified in paragraph |
17 | | (1) of this subsection (l). |
18 | | (1) The Director, for the purposes of ascertaining the |
19 | | non-financial business practices, performance, and operations |
20 | | of any company, may make examinations of: |
21 | | (a) any company transacting or being organized to |
22 | | transact business in this State; |
23 | | (b) any person engaged in or proposing to be engaged |
24 | | in the organization, promotion, or solicitation of shares |
25 | | or capital contributions to or aiding in the formation of |
26 | | a company; |
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1 | | (c) any person having a contract, written or oral, |
2 | | pertaining to the management or control of a company as |
3 | | general agent, managing agent, or attorney-in-fact; |
4 | | (d) any licensed or registered producer, firm, or |
5 | | administrator, or any person, organization, or corporation |
6 | | making application for any licenses or registration; |
7 | | (e) any person engaged in the business of adjusting |
8 | | losses or financing premiums; or |
9 | | (f) any person, organization, trust, or corporation |
10 | | having custody or control of information reasonably |
11 | | related to the operation, performance, or conduct of a |
12 | | company or person subject to the jurisdiction of the |
13 | | Director. |
14 | | (2) Every company or person being examined and its |
15 | | officers, directors, and agents must provide to the Director |
16 | | convenient and free access at all reasonable hours at its |
17 | | office or location to all books, records, documents, and any |
18 | | or all papers relating to the business, performance, |
19 | | operations, and affairs of the company. The officers, |
20 | | directors, and agents of the company or person must facilitate |
21 | | the examination and aid in the examination so far as it is in |
22 | | their power to do so. |
23 | | The Director and any authorized examiner have the power to |
24 | | administer oaths and examine under oath any person relative to |
25 | | the business of the company being examined. |
26 | | (3) The examiners designated by the Director under Section |
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1 | | 402 must make a full and true report of every examination made |
2 | | by them, which contains only facts ascertained from the books, |
3 | | papers, records, or documents, and other evidence obtained by |
4 | | investigation and examined by them or ascertained from the |
5 | | testimony of officers or agents or other persons examined |
6 | | under oath concerning the business, affairs, conduct, and |
7 | | performance of the company or person. The report of |
8 | | examination must be verified by the oath of the examiner in |
9 | | charge thereof, and when so verified is prima facie evidence |
10 | | in any action or proceeding in the name of the State against |
11 | | the company, its officers, or agents upon the facts stated |
12 | | therein. |
13 | | (4) The Director must notify the company or person made |
14 | | the subject of any examination hereunder of the contents of |
15 | | the verified examination report before filing it and making |
16 | | the report public of any matters relating thereto, and must |
17 | | afford the company or person an opportunity to demand a |
18 | | hearing with reference to the facts and other evidence therein |
19 | | contained. |
20 | | The company or person may request a hearing within 10 days |
21 | | after receipt of the examination report by giving the Director |
22 | | written notice of that request, together with a statement of |
23 | | its objections. The Director must then conduct a hearing in |
24 | | accordance with Sections 402 and 403. He must issue a written |
25 | | order based upon the examination report and upon the hearing |
26 | | within 90 days after the report is filed or within 90 days |
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1 | | after the hearing. |
2 | | If the examination reveals that the company is operating |
3 | | in violation of any law, regulation, or prior order, the |
4 | | Director in the written order may require the company or |
5 | | person to take any action he considers necessary or |
6 | | appropriate in accordance with the report of examination or |
7 | | any hearing thereon. The order is subject to judicial review |
8 | | under the Administrative Review Law. The Director may withhold |
9 | | any report from public inspection for such time as he may deem |
10 | | proper and may, after filing the same, publish any part or all |
11 | | of the report as he considers to be in the interest of the |
12 | | public, in one or more newspapers in this State, without |
13 | | expense to the company. |
14 | | (5) Any company which or person who violates or aids and |
15 | | abets any violation of a written order issued under this |
16 | | Section shall be guilty of a business offense and may be fined |
17 | | not more than $5,000. The penalty shall be paid into the |
18 | | General Revenue fund of the State of Illinois. |
19 | | (Source: P.A. 87-108.) |
| | |
20 | | (215 ILCS 5/132.5) (from Ch. 73, par. 744.5) |
21 | | Sec. 132.5. Examination reports. |
22 | | (a) General description. All examination reports shall be |
23 | | comprised of only facts appearing upon the books, records, or |
24 | | other documents of the company, its agents, or other persons |
25 | | examined or as ascertained from the testimony of its officers, |
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1 | | agents, or other persons examined concerning its affairs and |
2 | | the conclusions and recommendations as the examiners find |
3 | | reasonably warranted from those facts. |
4 | | (b) Filing of examination report. No later than 60 days |
5 | | following completion of the examination, the examiner in |
6 | | charge shall file with the Department a verified written |
7 | | report of examination under oath. Upon receipt of the verified |
8 | | report, the Department shall transmit the report to the |
9 | | company examined, together with a notice that affords the |
10 | | company examined a reasonable opportunity of not more than 30 |
11 | | days to make a written submission or rebuttal with respect to |
12 | | any matters contained in the examination report. |
13 | | (c) Adoption of the report on examination. Within 30 days |
14 | | of the end of the period allowed for the receipt of written |
15 | | submissions or rebuttals, the Director shall fully consider |
16 | | and review the report, together with any written submissions |
17 | | or rebuttals and any relevant portions of the examiners work |
18 | | papers and enter an order: |
19 | | (1) Adopting the examination report as filed or with |
20 | | modification or corrections. If the examination report |
21 | | reveals that the company is operating in violation of any |
22 | | law, regulation, or prior order of the Director, the |
23 | | Director may order the company to take any action the |
24 | | Director considers necessary and appropriate to cure the |
25 | | violation. |
26 | | (2) Rejecting the examination report with directions |
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1 | | to the examiners to reopen the examination for purposes of |
2 | | obtaining additional data, documentation, or information |
3 | | and refiling under subsection (b). |
4 | | (3) Calling for an investigatory hearing with no less |
5 | | than 20 days notice to the company for purposes of |
6 | | obtaining additional documentation, data, information, and |
7 | | testimony. |
8 | | (d) Order and procedures. All orders entered under |
9 | | paragraph (1) of subsection (c) shall be accompanied by |
10 | | findings and conclusions resulting from the Director's |
11 | | consideration and review of the examination report, relevant |
12 | | examiner work papers, and any written submissions or |
13 | | rebuttals. The order shall be considered a final |
14 | | administrative decision and may be appealed in accordance with |
15 | | the Administrative Review Law. The order shall be served upon |
16 | | the company by certified mail, together with a copy of the |
17 | | adopted examination report. Within 30 days of the issuance of |
18 | | the adopted report, the company shall file affidavits executed |
19 | | by each of its directors stating under oath that they have |
20 | | received a copy of the adopted report and related orders. |
21 | | Any hearing conducted under paragraph (3) of subsection |
22 | | (c) by the Director or an authorized representative shall be |
23 | | conducted as a nonadversarial confidential investigatory |
24 | | proceeding as necessary for the resolution of any |
25 | | inconsistencies, discrepancies, or disputed issues apparent |
26 | | upon the face of the filed examination report or raised by or |
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1 | | as a result of the Director's review of relevant work papers or |
2 | | by the written submission or rebuttal of the company. Within |
3 | | 20 days of the conclusion of any hearing, the Director shall |
4 | | enter an order under paragraph (1) of subsection (c). |
5 | | The Director shall not appoint an examiner as an |
6 | | authorized representative to conduct the hearing. The hearing |
7 | | shall proceed expeditiously with discovery by the company |
8 | | limited to the examiner's work papers that tend to |
9 | | substantiate any assertions set forth in any written |
10 | | submission or rebuttal. The Director or his representative may |
11 | | issue subpoenas for the attendance of any witnesses or the |
12 | | production of any documents deemed relevant to the |
13 | | investigation, whether under the control of the Department, |
14 | | the company, or other persons. The documents produced shall be |
15 | | included in the record, and testimony taken by the Director or |
16 | | his representative shall be under oath and preserved for the |
17 | | record. Nothing contained in this Section shall require the |
18 | | Department to disclose any information or records that would |
19 | | indicate or show the existence or content of any investigation |
20 | | or activity of a criminal justice agency. |
21 | | The hearing shall proceed with the Director or his |
22 | | representative posing questions to the persons subpoenaed. |
23 | | Thereafter , the company and the Department may present |
24 | | testimony relevant to the investigation. Cross-examination |
25 | | shall be conducted only by the Director or his representative. |
26 | | The company and the Department shall be permitted to make |
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1 | | closing statements and may be represented by counsel of their |
2 | | choice. |
3 | | (e) Publication and use. Upon the adoption of the |
4 | | examination report under paragraph (1) of subsection (c), the |
5 | | Director shall continue to hold the content of the examination |
6 | | report as private and confidential information for a period of |
7 | | 35 days, except to the extent provided in subsection (b). |
8 | | Thereafter, the Director may open the report for public |
9 | | inspection so long as no court of competent jurisdiction has |
10 | | stayed its publication. |
11 | | Nothing contained in this Code shall prevent or be |
12 | | construed as prohibiting the Director from disclosing the |
13 | | content of an examination report, preliminary examination |
14 | | report or results, or any matter relating thereto, to the |
15 | | insurance department of any other state or country or to law |
16 | | enforcement officials of this or any other state or agency of |
17 | | the federal government at any time, so long as the agency or |
18 | | office receiving the report or matters relating thereto agrees |
19 | | in writing to hold it confidential and in a manner consistent |
20 | | with this Code. |
21 | | In the event the Director determines that regulatory |
22 | | action is appropriate as a result of any examination, he may |
23 | | initiate any proceedings or actions as provided by law. |
24 | | (f) Confidentiality of ancillary information. All working |
25 | | papers, recorded information, documents, and copies thereof |
26 | | produced by, obtained by, or disclosed to the Director or any |
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1 | | other person in the course of any examination must be given |
2 | | confidential treatment, are not subject to subpoena, and may |
3 | | not be made public by the Director or any other persons, except |
4 | | to the extent provided in subsection (e). Access may also be |
5 | | granted to the National Association of Insurance |
6 | | Commissioners. Those parties must agree in writing before |
7 | | receiving the information to provide to it the same |
8 | | confidential treatment as required by this Section, unless the |
9 | | prior written consent of the company to which it pertains has |
10 | | been obtained. |
11 | | This subsection (f) applies to market conduct examinations |
12 | | described in Section 132 of this Code. |
13 | | (g) Disclosure. Nothing contained in this Code shall |
14 | | prevent or be construed as prohibiting the Director from |
15 | | disclosing the information described in subsections (e) and |
16 | | (f) to the Illinois Insurance Guaranty Fund regarding any |
17 | | member company defined in Section 534.5 if the member company |
18 | | has an authorized control level event as defined in Section |
19 | | 35A-25. The Director may disclose the information described in |
20 | | this subsection so long as the Fund agrees in writing to hold |
21 | | that information confidential, in a manner consistent with |
22 | | this Code, and uses that information to prepare for the |
23 | | possible liquidation of the member company. Access to the |
24 | | information disclosed by the Director to the Fund shall be |
25 | | limited to the Fund's staff and its counsel. The Board of |
26 | | Directors of the Fund may have access to the information |
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1 | | disclosed by the Director to the Fund once the member company |
2 | | is subject to a delinquency proceeding under Article XIII |
3 | | subject to any terms and conditions established by the |
4 | | Director. |
5 | | (Source: P.A. 102-929, eff. 5-27-22.) |
| | |
6 | | (215 ILCS 5/155.35) |
7 | | Sec. 155.35. Insurance compliance self-evaluative |
8 | | privilege. |
9 | | (a) To encourage insurance companies and persons |
10 | | conducting activities regulated under this Code, both to |
11 | | conduct voluntary internal audits of their compliance programs |
12 | | and management systems and to assess and improve compliance |
13 | | with State and federal statutes, rules, and orders, an |
14 | | insurance compliance self-evaluative privilege is recognized |
15 | | to protect the confidentiality of communications relating to |
16 | | voluntary internal compliance audits. The General Assembly |
17 | | hereby finds and declares that protection of insurance |
18 | | consumers is enhanced by companies' voluntary compliance with |
19 | | this State's insurance and other laws and that the public will |
20 | | benefit from incentives to identify and remedy insurance and |
21 | | other compliance issues. It is further declared that limited |
22 | | expansion of the protection against disclosure will encourage |
23 | | voluntary compliance and improve insurance market conduct |
24 | | quality and that the voluntary provisions of this Section will |
25 | | not inhibit the exercise of the regulatory authority by those |
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1 | | entrusted with protecting insurance consumers. |
2 | | (b)(1) An insurance compliance self-evaluative audit |
3 | | document is privileged information and is not admissible as |
4 | | evidence in any legal action in any civil, criminal, or |
5 | | administrative proceeding, except as provided in subsections |
6 | | (c) and (d) of this Section. Documents, communications, data, |
7 | | reports, or other information created as a result of a claim |
8 | | involving personal injury or workers' compensation made |
9 | | against an insurance policy are not insurance compliance |
10 | | self-evaluative audit documents and are admissible as evidence |
11 | | in civil proceedings as otherwise provided by applicable rules |
12 | | of evidence or civil procedure, subject to any applicable |
13 | | statutory or common law privilege, including , but not limited |
14 | | to , the work product doctrine, the attorney-client privilege, |
15 | | or the subsequent remedial measures exclusion. |
16 | | (2) If any company, person, or entity performs or directs |
17 | | the performance of an insurance compliance audit, an officer |
18 | | or employee involved with the insurance compliance audit, or |
19 | | any consultant who is hired for the purpose of performing the |
20 | | insurance compliance audit, may not be examined in any civil, |
21 | | criminal, or administrative proceeding as to the insurance |
22 | | compliance audit or any insurance compliance self-evaluative |
23 | | audit document, as defined in this Section. This subsection |
24 | | (b)(2) does not apply if the privilege set forth in subsection |
25 | | (b)(1) of this Section is determined under subsection (c) or |
26 | | (d) not to apply. |
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1 | | (3) A company may voluntarily submit, in connection with |
2 | | examinations conducted under this Article, an insurance |
3 | | compliance self-evaluative audit document to the Director, or |
4 | | his or her designee, as a confidential document under |
5 | | subsection (i) of Section 132 or subsection (f) of Section |
6 | | 132.5 of this Code without waiving the privilege set forth in |
7 | | this Section to which the company would otherwise be entitled; |
8 | | provided, however, that the provisions in Sections 132 and |
9 | | subsection (f) of Section 132.5 permitting the Director to |
10 | | make confidential documents public pursuant to subsection (e) |
11 | | of Section 132.5 and grant access to the National Association |
12 | | of Insurance Commissioners shall not apply to the insurance |
13 | | compliance self-evaluative audit document so voluntarily |
14 | | submitted. Nothing contained in this subsection shall give the |
15 | | Director any authority to compel a company to disclose |
16 | | involuntarily or otherwise provide an insurance compliance |
17 | | self-evaluative audit document. |
18 | | (c)(1) The privilege set forth in subsection (b) of this |
19 | | Section does not apply to the extent that it is expressly |
20 | | waived by the company that prepared or caused to be prepared |
21 | | the insurance compliance self-evaluative audit document. |
22 | | (2) In a civil or administrative proceeding, a court of |
23 | | record may, after an in camera review, require disclosure of |
24 | | material for which the privilege set forth in subsection (b) |
25 | | of this Section is asserted, if the court determines one of the |
26 | | following: |
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1 | | (A) the privilege is asserted for a fraudulent |
2 | | purpose; |
3 | | (B) the material is not subject to the privilege; or |
4 | | (C) even if subject to the privilege, the material |
5 | | shows evidence of noncompliance with State and federal |
6 | | statutes, rules and orders and the company failed to |
7 | | undertake reasonable corrective action or eliminate the |
8 | | noncompliance within a reasonable time. |
9 | | (3) In a criminal proceeding, a court of record may, after |
10 | | an in camera review, require disclosure of material for which |
11 | | the privilege described in subsection (b) of this Section is |
12 | | asserted, if the court determines one of the following: |
13 | | (A) the privilege is asserted for a fraudulent |
14 | | purpose; |
15 | | (B) the material is not subject to the privilege; |
16 | | (C) even if subject to the privilege, the material |
17 | | shows evidence of noncompliance with State and federal |
18 | | statutes, rules and orders and the company failed to |
19 | | undertake reasonable corrective action or eliminate such |
20 | | noncompliance within a reasonable time; or |
21 | | (D) the material contains evidence relevant to |
22 | | commission of a criminal offense under this Code, and all |
23 | | of the following factors are present: |
24 | | (i) the Director, State's Attorney, or Attorney |
25 | | General has a compelling need for the information; |
26 | | (ii) the information is not otherwise available; |
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1 | | and |
2 | | (iii) the Director, State's Attorney, or Attorney |
3 | | General is unable to obtain the substantial equivalent |
4 | | of the information by any means without incurring |
5 | | unreasonable cost and delay. |
6 | | (d)(1) Within 30 days after the Director, State's |
7 | | Attorney, or Attorney General makes a written request by |
8 | | certified mail for disclosure of an insurance compliance |
9 | | self-evaluative audit document under this subsection, the |
10 | | company that prepared or caused the document to be prepared |
11 | | may file with the appropriate court a petition requesting an |
12 | | in camera hearing on whether the insurance compliance |
13 | | self-evaluative audit document or portions of the document are |
14 | | privileged under this Section or subject to disclosure. The |
15 | | court has jurisdiction over a petition filed by a company |
16 | | under this subsection requesting an in camera hearing on |
17 | | whether the insurance compliance self-evaluative audit |
18 | | document or portions of the document are privileged or subject |
19 | | to disclosure. Failure by the company to file a petition |
20 | | waives the privilege. |
21 | | (2) A company asserting the insurance compliance |
22 | | self-evaluative privilege in response to a request for |
23 | | disclosure under this subsection shall include in its request |
24 | | for an in camera hearing all of the information set forth in |
25 | | subsection (d)(5) of this Section. |
26 | | (3) Upon the filing of a petition under this subsection, |
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1 | | the court shall issue an order scheduling, within 45 days |
2 | | after the filing of the petition, an in camera hearing to |
3 | | determine whether the insurance compliance self-evaluative |
4 | | audit document or portions of the document are privileged |
5 | | under this Section or subject to disclosure. |
6 | | (4) The court, after an in camera review, may require |
7 | | disclosure of material for which the privilege in subsection |
8 | | (b) of this Section is asserted if the court determines, based |
9 | | upon its in camera review, that any one of the conditions set |
10 | | forth in subsection (c)(2)(A) through (C) is applicable as to |
11 | | a civil or administrative proceeding or that any one of the |
12 | | conditions set forth in subsection (c)(3)(A) through (D) is |
13 | | applicable as to a criminal proceeding. Upon making such a |
14 | | determination, the court may only compel the disclosure of |
15 | | those portions of an insurance compliance self-evaluative |
16 | | audit document relevant to issues in dispute in the underlying |
17 | | proceeding. Any compelled disclosure will not be considered to |
18 | | be a public document or be deemed to be a waiver of the |
19 | | privilege for any other civil, criminal, or administrative |
20 | | proceeding. A party unsuccessfully opposing disclosure may |
21 | | apply to the court for an appropriate order protecting the |
22 | | document from further disclosure. |
23 | | (5) A company asserting the insurance compliance |
24 | | self-evaluative privilege in response to a request for |
25 | | disclosure under this subsection (d) shall provide to the |
26 | | Director, State's Attorney, or Attorney General, as the case |
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1 | | may be, at the time of filing any objection to the disclosure, |
2 | | all of the following information: |
3 | | (A) The date of the insurance compliance |
4 | | self-evaluative audit document. |
5 | | (B) The identity of the entity conducting the audit. |
6 | | (C) The general nature of the activities covered by |
7 | | the insurance compliance audit. |
8 | | (D) An identification of the portions of the insurance |
9 | | compliance self-evaluative audit document for which the |
10 | | privilege is being asserted. |
11 | | (e) (1) A company asserting the insurance compliance |
12 | | self-evaluative privilege set forth in subsection (b) of this |
13 | | Section has the burden of demonstrating the applicability of |
14 | | the privilege. Once a company has established the |
15 | | applicability of the privilege, a party seeking disclosure |
16 | | under subsections (c)(2)(A) or (C) of this Section has the |
17 | | burden of proving that the privilege is asserted for a |
18 | | fraudulent purpose or that the company failed to undertake |
19 | | reasonable corrective action or eliminate the noncompliance |
20 | | with a reasonable time. The Director, State's Attorney, or |
21 | | Attorney General seeking disclosure under subsection (c)(3) of |
22 | | this Section has the burden of proving the elements set forth |
23 | | in subsection (c)(3) of this Section. |
24 | | (2) The parties may at any time stipulate in proceedings |
25 | | under subsections (c) or (d) of this Section to entry of an |
26 | | order directing that specific information contained in an |
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1 | | insurance compliance self-evaluative audit document is or is |
2 | | not subject to the privilege provided under subsection (b) of |
3 | | this Section. |
4 | | (f) The privilege set forth in subsection (b) of this |
5 | | Section shall not extend to any of the following: |
6 | | (1) documents, communications, data, reports, or other |
7 | | information required to be collected, developed, |
8 | | maintained, reported, or otherwise made available to a |
9 | | regulatory agency pursuant to this Code, or other federal |
10 | | or State law, rule, or order; |
11 | | (2) information obtained by observation or monitoring |
12 | | by any regulatory agency; or |
13 | | (3) information obtained from a source independent of |
14 | | the insurance compliance audit. |
15 | | (g) As used in this Section: |
16 | | (1) "Insurance compliance audit" means a voluntary, |
17 | | internal evaluation, review, assessment, or audit not |
18 | | otherwise expressly required by law of a company or an |
19 | | activity regulated under this Code, or other State or |
20 | | federal law applicable to a company, or of management |
21 | | systems related to the company or activity, that is |
22 | | designed to identify and prevent noncompliance and to |
23 | | improve compliance with those statutes, rules, or orders. |
24 | | An insurance compliance audit may be conducted by the |
25 | | company, its employees, or by independent contractors. |
26 | | (2) "Insurance compliance self-evaluative audit |
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1 | | document" means documents prepared as a result of or in |
2 | | connection with and not prior to an insurance compliance |
3 | | audit. An insurance compliance self-evaluation audit |
4 | | document may include a written response to the findings of |
5 | | an insurance compliance audit. An insurance compliance |
6 | | self-evaluative audit document may include, but is not |
7 | | limited to, as applicable, field notes and records of |
8 | | observations, findings, opinions, suggestions, |
9 | | conclusions, drafts, memoranda, drawings, photographs, |
10 | | computer-generated or electronically recorded |
11 | | information, phone records, maps, charts, graphs, and |
12 | | surveys, provided this supporting information is collected |
13 | | or developed for the primary purpose and in the course of |
14 | | an insurance compliance audit. An insurance compliance |
15 | | self-evaluative audit document may also include any of the |
16 | | following: |
17 | | (A) an insurance compliance audit report prepared |
18 | | by an auditor, who may be an employee of the company or |
19 | | an independent contractor, which may include the scope |
20 | | of the audit, the information gained in the audit, and |
21 | | conclusions and recommendations, with exhibits and |
22 | | appendices; |
23 | | (B) memoranda and documents analyzing portions or |
24 | | all of the insurance compliance audit report and |
25 | | discussing potential implementation issues; |
26 | | (C) an implementation plan that addresses |
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1 | | correcting past noncompliance, improving current |
2 | | compliance, and preventing future noncompliance; or |
3 | | (D) analytic data generated in the course of |
4 | | conducting the insurance compliance audit. |
5 | | (3) "Company" has the same meaning as provided in |
6 | | Section 2 of this Code. |
7 | | (h) Nothing in this Section shall limit, waive, or |
8 | | abrogate the scope or nature of any statutory or common law |
9 | | privilege including, but not limited to, the work product |
10 | | doctrine, the attorney-client privilege, or the subsequent |
11 | | remedial measures exclusion. |
12 | | (Source: P.A. 90-499, eff. 8-19-97; 90-655, eff. 7-30-98.) |
| | |
13 | | (215 ILCS 5/402) (from Ch. 73, par. 1014) |
14 | | Sec. 402. Examinations, investigations and hearings. (1) |
15 | | All examinations, investigations and hearings provided for by |
16 | | this Code may be conducted either by the Director personally, |
17 | | or by one or more of the actuaries, technical advisors, |
18 | | deputies, supervisors or examiners employed or retained by the |
19 | | Department and designated by the Director for such purpose. |
20 | | When necessary to supplement its examination procedures, the |
21 | | Department may retain independent actuaries deemed competent |
22 | | by the Director, independent certified public accountants, or |
23 | | qualified examiners of insurance companies , or other qualified |
24 | | outside professional assistance deemed competent by the |
25 | | Director, or any combination of the foregoing, the cost of |
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1 | | which shall be borne by the company or person being examined. |
2 | | The Director may compensate independent actuaries, certified |
3 | | public accountants , and qualified examiners , and other |
4 | | qualified outside professional assistance retained for |
5 | | supplementing examination procedures in amounts not to exceed |
6 | | the reasonable and customary charges for such services. The |
7 | | Director may also accept as a part of the Department's |
8 | | examination of any company or person (a) a report by an |
9 | | independent actuary deemed competent by the Director or (b) a |
10 | | report of an audit made by an independent certified public |
11 | | accountant. Neither those persons so designated nor any |
12 | | members of their immediate families shall be officers of, |
13 | | connected with, or financially interested in any company other |
14 | | than as policyholders, nor shall they be financially |
15 | | interested in any other corporation or person affected by the |
16 | | examination, investigation or hearing. |
17 | | (2) All hearings provided for in this Code shall, unless |
18 | | otherwise specially provided, be held at such time and place |
19 | | as shall be designated in a notice which shall be given by the |
20 | | Director in writing to the person or company whose interests |
21 | | are affected, at least 10 days before the date designated |
22 | | therein. The notice shall state the subject of inquiry and the |
23 | | specific charges, if any. The hearings shall be held in the |
24 | | City of Springfield, the City of Chicago, or in the county |
25 | | where the principal business address of the person or company |
26 | | affected is located. |
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1 | | (Source: P.A. 87-757.) |
| | |
2 | | (215 ILCS 5/408) (from Ch. 73, par. 1020) |
3 | | (Text of Section before amendment by P.A. 103-75 ) |
4 | | Sec. 408. Fees and charges. |
5 | | (1) The Director shall charge, collect and give proper |
6 | | acquittances for the payment of the following fees and |
7 | | charges: |
8 | | (a) For filing all documents submitted for the |
9 | | incorporation or organization or certification of a |
10 | | domestic company, except for a fraternal benefit society, |
11 | | $2,000. |
12 | | (b) For filing all documents submitted for the |
13 | | incorporation or organization of a fraternal benefit |
14 | | society, $500. |
15 | | (c) For filing amendments to articles of incorporation |
16 | | and amendments to declaration of organization, except for |
17 | | a fraternal benefit society, a mutual benefit association, |
18 | | a burial society or a farm mutual, $200. |
19 | | (d) For filing amendments to articles of incorporation |
20 | | of a fraternal benefit society, a mutual benefit |
21 | | association or a burial society, $100. |
22 | | (e) For filing amendments to articles of incorporation |
23 | | of a farm mutual, $50. |
24 | | (f) For filing bylaws or amendments thereto, $50. |
25 | | (g) For filing agreement of merger or consolidation: |
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1 | | (i) for a domestic company, except for a fraternal |
2 | | benefit society, a mutual benefit association, a |
3 | | burial society, or a farm mutual, $2,000. |
4 | | (ii) for a foreign or alien company, except for a |
5 | | fraternal benefit society, $600. |
6 | | (iii) for a fraternal benefit society, a mutual |
7 | | benefit association, a burial society, or a farm |
8 | | mutual, $200. |
9 | | (h) For filing agreements of reinsurance by a domestic |
10 | | company, $200. |
11 | | (i) For filing all documents submitted by a foreign or |
12 | | alien company to be admitted to transact business or |
13 | | accredited as a reinsurer in this State, except for a |
14 | | fraternal benefit society, $5,000. |
15 | | (j) For filing all documents submitted by a foreign or |
16 | | alien fraternal benefit society to be admitted to transact |
17 | | business in this State, $500. |
18 | | (k) For filing declaration of withdrawal of a foreign |
19 | | or alien company, $50. |
20 | | (l) For filing annual statement by a domestic company, |
21 | | except a fraternal benefit society, a mutual benefit |
22 | | association, a burial society, or a farm mutual, $200. |
23 | | (m) For filing annual statement by a domestic |
24 | | fraternal benefit society, $100. |
25 | | (n) For filing annual statement by a farm mutual, a |
26 | | mutual benefit association, or a burial society, $50. |
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1 | | (o) For issuing a certificate of authority or renewal |
2 | | thereof except to a foreign fraternal benefit society, |
3 | | $400. |
4 | | (p) For issuing a certificate of authority or renewal |
5 | | thereof to a foreign fraternal benefit society, $200. |
6 | | (q) For issuing an amended certificate of authority, |
7 | | $50. |
8 | | (r) For each certified copy of certificate of |
9 | | authority, $20. |
10 | | (s) For each certificate of deposit, or valuation, or |
11 | | compliance or surety certificate, $20. |
12 | | (t) For copies of papers or records per page, $1. |
13 | | (u) For each certification to copies of papers or |
14 | | records, $10. |
15 | | (v) For multiple copies of documents or certificates |
16 | | listed in subparagraphs (r), (s), and (u) of paragraph (1) |
17 | | of this Section, $10 for the first copy of a certificate of |
18 | | any type and $5 for each additional copy of the same |
19 | | certificate requested at the same time, unless, pursuant |
20 | | to paragraph (2) of this Section, the Director finds these |
21 | | additional fees excessive. |
22 | | (w) For issuing a permit to sell shares or increase |
23 | | paid-up capital: |
24 | | (i) in connection with a public stock offering, |
25 | | $300; |
26 | | (ii) in any other case, $100. |
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1 | | (x) For issuing any other certificate required or |
2 | | permissible under the law, $50. |
3 | | (y) For filing a plan of exchange of the stock of a |
4 | | domestic stock insurance company, a plan of |
5 | | demutualization of a domestic mutual company, or a plan of |
6 | | reorganization under Article XII, $2,000. |
7 | | (z) For filing a statement of acquisition of a |
8 | | domestic company as defined in Section 131.4 of this Code, |
9 | | $2,000. |
10 | | (aa) For filing an agreement to purchase the business |
11 | | of an organization authorized under the Dental Service |
12 | | Plan Act or the Voluntary Health Services Plans Act or of a |
13 | | health maintenance organization or a limited health |
14 | | service organization, $2,000. |
15 | | (bb) For filing a statement of acquisition of a |
16 | | foreign or alien insurance company as defined in Section |
17 | | 131.12a of this Code, $1,000. |
18 | | (cc) For filing a registration statement as required |
19 | | in Sections 131.13 and 131.14, the notification as |
20 | | required by Sections 131.16, 131.20a, or 141.4, or an |
21 | | agreement or transaction required by Sections 124.2(2), |
22 | | 141, 141a, or 141.1, $200. |
23 | | (dd) For filing an application for licensing of: |
24 | | (i) a religious or charitable risk pooling trust |
25 | | or a workers' compensation pool, $1,000; |
26 | | (ii) a workers' compensation service company, |
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1 | | $500; |
2 | | (iii) a self-insured automobile fleet, $200; or |
3 | | (iv) a renewal of or amendment of any license |
4 | | issued pursuant to (i), (ii), or (iii) above, $100. |
5 | | (ee) For filing articles of incorporation for a |
6 | | syndicate to engage in the business of insurance through |
7 | | the Illinois Insurance Exchange, $2,000. |
8 | | (ff) For filing amended articles of incorporation for |
9 | | a syndicate engaged in the business of insurance through |
10 | | the Illinois Insurance Exchange, $100. |
11 | | (gg) For filing articles of incorporation for a |
12 | | limited syndicate to join with other subscribers or |
13 | | limited syndicates to do business through the Illinois |
14 | | Insurance Exchange, $1,000. |
15 | | (hh) For filing amended articles of incorporation for |
16 | | a limited syndicate to do business through the Illinois |
17 | | Insurance Exchange, $100. |
18 | | (ii) For a permit to solicit subscriptions to a |
19 | | syndicate or limited syndicate, $100. |
20 | | (jj) For the filing of each form as required in |
21 | | Section 143 of this Code, $50 per form. Informational and |
22 | | advertising filings shall be $25 per filing. The fee for |
23 | | advisory and rating organizations shall be $200 per form. |
24 | | (i) For the purposes of the form filing fee, |
25 | | filings made on insert page basis will be considered |
26 | | one form at the time of its original submission. |
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1 | | Changes made to a form subsequent to its approval |
2 | | shall be considered a new filing. |
3 | | (ii) Only one fee shall be charged for a form, |
4 | | regardless of the number of other forms or policies |
5 | | with which it will be used. |
6 | | (iii) Fees charged for a policy filed as it will be |
7 | | issued regardless of the number of forms comprising |
8 | | that policy shall not exceed $1,500. For advisory or |
9 | | rating organizations, fees charged for a policy filed |
10 | | as it will be issued regardless of the number of forms |
11 | | comprising that policy shall not exceed $2,500. |
12 | | (iv) The Director may by rule exempt forms from |
13 | | such fees. |
14 | | (kk) For filing an application for licensing of a |
15 | | reinsurance intermediary, $500. |
16 | | (ll) For filing an application for renewal of a |
17 | | license of a reinsurance intermediary, $200. |
18 | | (mm) For filing a plan of division of a domestic stock |
19 | | company under Article IIB, $10,000. |
20 | | (nn) For filing all documents submitted by a foreign |
21 | | or alien company to be a certified reinsurer in this |
22 | | State, except for a fraternal benefit society, $1,000. |
23 | | (oo) For filing a renewal by a foreign or alien |
24 | | company to be a certified reinsurer in this State, except |
25 | | for a fraternal benefit society, $400. |
26 | | (pp) For filing all documents submitted by a reinsurer |
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1 | | domiciled in a reciprocal jurisdiction, $1,000. |
2 | | (qq) For filing a renewal by a reinsurer domiciled in |
3 | | a reciprocal jurisdiction, $400. |
4 | | (rr) For registering a captive management company or |
5 | | renewal thereof, $50. |
6 | | (2) When printed copies or numerous copies of the same |
7 | | paper or records are furnished or certified, the Director may |
8 | | reduce such fees for copies if he finds them excessive. He may, |
9 | | when he considers it in the public interest, furnish without |
10 | | charge to state insurance departments and persons other than |
11 | | companies, copies or certified copies of reports of |
12 | | examinations and of other papers and records. |
13 | | (3) (a) The expenses incurred in any performance |
14 | | examination authorized by law shall be paid by the company or |
15 | | person being examined. The charge shall be consistent with |
16 | | that otherwise authorized by law and shall be reasonably |
17 | | related to the cost of the examination including but not |
18 | | limited to compensation of examiners, electronic data |
19 | | processing costs, supervision and preparation of an |
20 | | examination report and lodging and travel expenses. All |
21 | | lodging and travel expenses shall be in accord with the |
22 | | applicable travel regulations as published by the Department |
23 | | of Central Management Services and approved by the Governor's |
24 | | Travel Control Board, except that out-of-state lodging and |
25 | | travel expenses related to examinations authorized under |
26 | | Section 132 shall be in accordance with travel rates |
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1 | | prescribed under paragraph 301-7.2 of the Federal Travel |
2 | | Regulations, 41 C.F.R. 301-7.2, for reimbursement of |
3 | | subsistence expenses incurred during official travel. All |
4 | | lodging and travel expenses may be reimbursed directly upon |
5 | | authorization of the Director. With the exception of the |
6 | | direct reimbursements authorized by the Director, all |
7 | | performance examination charges collected by the Department |
8 | | shall be paid to the Insurance Producer Administration Fund, |
9 | | however, the electronic data processing costs incurred by the |
10 | | Department in the performance of any examination shall be |
11 | | billed directly to the company being examined for payment to |
12 | | the Technology Management Revolving Fund. |
13 | | (b) The costs and fees incurred in a market conduct |
14 | | examination shall be itemized and bills shall be provided to |
15 | | the examinee on a monthly basis for review prior to submission |
16 | | for payment. The Director shall review and affirmatively |
17 | | endorse detailed billings from any contracted, qualified |
18 | | outside professional assistance retained under Section 402 for |
19 | | market conduct examinations before the detailed billings are |
20 | | sent to the examinee. Before any qualified outside |
21 | | professional assistance conducts billable work on an |
22 | | examination, the Department shall disclose to the examinee the |
23 | | terms of the contracts with the qualified outside professional |
24 | | assistance that will be used, including the fees and hourly |
25 | | rates that can be charged. |
26 | | (4) At the time of any service of process on the Director |
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1 | | as attorney for such service, the Director shall charge and |
2 | | collect the sum of $40, which may be recovered as taxable costs |
3 | | by the party to the suit or action causing such service to be |
4 | | made if he prevails in such suit or action. |
5 | | (5) (a) The costs incurred by the Department of Insurance |
6 | | in conducting any hearing authorized by law shall be assessed |
7 | | against the parties to the hearing in such proportion as the |
8 | | Director of Insurance may determine upon consideration of all |
9 | | relevant circumstances including: (1) the nature of the |
10 | | hearing; (2) whether the hearing was instigated by, or for the |
11 | | benefit of a particular party or parties; (3) whether there is |
12 | | a successful party on the merits of the proceeding; and (4) the |
13 | | relative levels of participation by the parties. |
14 | | (b) For purposes of this subsection (5) costs incurred |
15 | | shall mean the hearing officer fees, court reporter fees, and |
16 | | travel expenses of Department of Insurance officers and |
17 | | employees; provided however, that costs incurred shall not |
18 | | include hearing officer fees or court reporter fees unless the |
19 | | Department has retained the services of independent |
20 | | contractors or outside experts to perform such functions. |
21 | | (c) The Director shall make the assessment of costs |
22 | | incurred as part of the final order or decision arising out of |
23 | | the proceeding; provided, however, that such order or decision |
24 | | shall include findings and conclusions in support of the |
25 | | assessment of costs. This subsection (5) shall not be |
26 | | construed as permitting the payment of travel expenses unless |
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1 | | calculated in accordance with the applicable travel |
2 | | regulations of the Department of Central Management Services, |
3 | | as approved by the Governor's Travel Control Board. The |
4 | | Director as part of such order or decision shall require all |
5 | | assessments for hearing officer fees and court reporter fees, |
6 | | if any, to be paid directly to the hearing officer or court |
7 | | reporter by the party(s) assessed for such costs. The |
8 | | assessments for travel expenses of Department officers and |
9 | | employees shall be reimbursable to the Director of Insurance |
10 | | for deposit to the fund out of which those expenses had been |
11 | | paid. |
12 | | (d) The provisions of this subsection (5) shall apply in |
13 | | the case of any hearing conducted by the Director of Insurance |
14 | | not otherwise specifically provided for by law. |
15 | | (6) The Director shall charge and collect an annual |
16 | | financial regulation fee from every domestic company for |
17 | | examination and analysis of its financial condition and to |
18 | | fund the internal costs and expenses of the Interstate |
19 | | Insurance Receivership Commission as may be allocated to the |
20 | | State of Illinois and companies doing an insurance business in |
21 | | this State pursuant to Article X of the Interstate Insurance |
22 | | Receivership Compact. The fee shall be the greater fixed |
23 | | amount based upon the combination of nationwide direct premium |
24 | | income and nationwide reinsurance assumed premium income or |
25 | | upon admitted assets calculated under this subsection as |
26 | | follows: |
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1 | | (a) Combination of nationwide direct premium income |
2 | | and nationwide reinsurance assumed premium. |
3 | | (i) $150, if the premium is less than $500,000 and |
4 | | there is no reinsurance assumed premium; |
5 | | (ii) $750, if the premium is $500,000 or more, but |
6 | | less than $5,000,000 and there is no reinsurance |
7 | | assumed premium; or if the premium is less than |
8 | | $5,000,000 and the reinsurance assumed premium is less |
9 | | than $10,000,000; |
10 | | (iii) $3,750, if the premium is less than |
11 | | $5,000,000 and the reinsurance assumed premium is |
12 | | $10,000,000 or more; |
13 | | (iv) $7,500, if the premium is $5,000,000 or more, |
14 | | but less than $10,000,000; |
15 | | (v) $18,000, if the premium is $10,000,000 or |
16 | | more, but less than $25,000,000; |
17 | | (vi) $22,500, if the premium is $25,000,000 or |
18 | | more, but less than $50,000,000; |
19 | | (vii) $30,000, if the premium is $50,000,000 or |
20 | | more, but less than $100,000,000; |
21 | | (viii) $37,500, if the premium is $100,000,000 or |
22 | | more. |
23 | | (b) Admitted assets. |
24 | | (i) $150, if admitted assets are less than |
25 | | $1,000,000; |
26 | | (ii) $750, if admitted assets are $1,000,000 or |
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1 | | more, but less than $5,000,000; |
2 | | (iii) $3,750, if admitted assets are $5,000,000 or |
3 | | more, but less than $25,000,000; |
4 | | (iv) $7,500, if admitted assets are $25,000,000 or |
5 | | more, but less than $50,000,000; |
6 | | (v) $18,000, if admitted assets are $50,000,000 or |
7 | | more, but less than $100,000,000; |
8 | | (vi) $22,500, if admitted assets are $100,000,000 |
9 | | or more, but less than $500,000,000; |
10 | | (vii) $30,000, if admitted assets are $500,000,000 |
11 | | or more, but less than $1,000,000,000; |
12 | | (viii) $37,500, if admitted assets are |
13 | | $1,000,000,000 or more. |
14 | | (c) The sum of financial regulation fees charged to |
15 | | the domestic companies of the same affiliated group shall |
16 | | not exceed $250,000 in the aggregate in any single year |
17 | | and shall be billed by the Director to the member company |
18 | | designated by the group. |
19 | | (7) The Director shall charge and collect an annual |
20 | | financial regulation fee from every foreign or alien company, |
21 | | except fraternal benefit societies, for the examination and |
22 | | analysis of its financial condition and to fund the internal |
23 | | costs and expenses of the Interstate Insurance Receivership |
24 | | Commission as may be allocated to the State of Illinois and |
25 | | companies doing an insurance business in this State pursuant |
26 | | to Article X of the Interstate Insurance Receivership Compact. |
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1 | | The fee shall be a fixed amount based upon Illinois direct |
2 | | premium income and nationwide reinsurance assumed premium |
3 | | income in accordance with the following schedule: |
4 | | (a) $150, if the premium is less than $500,000 and |
5 | | there is no reinsurance assumed premium; |
6 | | (b) $750, if the premium is $500,000 or more, but less |
7 | | than $5,000,000 and there is no reinsurance assumed |
8 | | premium; or if the premium is less than $5,000,000 and the |
9 | | reinsurance assumed premium is less than $10,000,000; |
10 | | (c) $3,750, if the premium is less than $5,000,000 and |
11 | | the reinsurance assumed premium is $10,000,000 or more; |
12 | | (d) $7,500, if the premium is $5,000,000 or more, but |
13 | | less than $10,000,000; |
14 | | (e) $18,000, if the premium is $10,000,000 or more, |
15 | | but less than $25,000,000; |
16 | | (f) $22,500, if the premium is $25,000,000 or more, |
17 | | but less than $50,000,000; |
18 | | (g) $30,000, if the premium is $50,000,000 or more, |
19 | | but less than $100,000,000; |
20 | | (h) $37,500, if the premium is $100,000,000 or more. |
21 | | The sum of financial regulation fees under this subsection |
22 | | (7) charged to the foreign or alien companies within the same |
23 | | affiliated group shall not exceed $250,000 in the aggregate in |
24 | | any single year and shall be billed by the Director to the |
25 | | member company designated by the group. |
26 | | (8) Beginning January 1, 1992, the financial regulation |
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1 | | fees imposed under subsections (6) and (7) of this Section |
2 | | shall be paid by each company or domestic affiliated group |
3 | | annually. After January 1, 1994, the fee shall be billed by |
4 | | Department invoice based upon the company's premium income or |
5 | | admitted assets as shown in its annual statement for the |
6 | | preceding calendar year. The invoice is due upon receipt and |
7 | | must be paid no later than June 30 of each calendar year. All |
8 | | financial regulation fees collected by the Department shall be |
9 | | paid to the Insurance Financial Regulation Fund. The |
10 | | Department may not collect financial examiner per diem charges |
11 | | from companies subject to subsections (6) and (7) of this |
12 | | Section undergoing financial examination after June 30, 1992. |
13 | | (9) In addition to the financial regulation fee required |
14 | | by this Section, a company undergoing any financial |
15 | | examination authorized by law shall pay the following costs |
16 | | and expenses incurred by the Department: electronic data |
17 | | processing costs, the expenses authorized under Section 131.21 |
18 | | and subsection (d) of Section 132.4 of this Code, and lodging |
19 | | and travel expenses. |
20 | | Electronic data processing costs incurred by the |
21 | | Department in the performance of any examination shall be |
22 | | billed directly to the company undergoing examination for |
23 | | payment to the Technology Management Revolving Fund. Except |
24 | | for direct reimbursements authorized by the Director or direct |
25 | | payments made under Section 131.21 or subsection (d) of |
26 | | Section 132.4 of this Code, all financial regulation fees and |
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1 | | all financial examination charges collected by the Department |
2 | | shall be paid to the Insurance Financial Regulation Fund. |
3 | | All lodging and travel expenses shall be in accordance |
4 | | with applicable travel regulations published by the Department |
5 | | of Central Management Services and approved by the Governor's |
6 | | Travel Control Board, except that out-of-state lodging and |
7 | | travel expenses related to examinations authorized under |
8 | | Sections 132.1 through 132.7 shall be in accordance with |
9 | | travel rates prescribed under paragraph 301-7.2 of the Federal |
10 | | Travel Regulations, 41 C.F.R. 301-7.2, for reimbursement of |
11 | | subsistence expenses incurred during official travel. All |
12 | | lodging and travel expenses may be reimbursed directly upon |
13 | | the authorization of the Director. |
14 | | In the case of an organization or person not subject to the |
15 | | financial regulation fee, the expenses incurred in any |
16 | | financial examination authorized by law shall be paid by the |
17 | | organization or person being examined. The charge shall be |
18 | | reasonably related to the cost of the examination including, |
19 | | but not limited to, compensation of examiners and other costs |
20 | | described in this subsection. |
21 | | (10) Any company, person, or entity failing to make any |
22 | | payment of $150 or more as required under this Section shall be |
23 | | subject to the penalty and interest provisions provided for in |
24 | | subsections (4) and (7) of Section 412. |
25 | | (11) Unless otherwise specified, all of the fees collected |
26 | | under this Section shall be paid into the Insurance Financial |
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| | SB1479 Engrossed | - 57 - | LRB103 05817 BMS 50837 b |
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1 | | Regulation Fund. |
2 | | (12) For purposes of this Section: |
3 | | (a) "Domestic company" means a company as defined in |
4 | | Section 2 of this Code which is incorporated or organized |
5 | | under the laws of this State, and in addition includes a |
6 | | not-for-profit corporation authorized under the Dental |
7 | | Service Plan Act or the Voluntary Health Services Plans |
8 | | Act, a health maintenance organization, and a limited |
9 | | health service organization. |
10 | | (b) "Foreign company" means a company as defined in |
11 | | Section 2 of this Code which is incorporated or organized |
12 | | under the laws of any state of the United States other than |
13 | | this State and in addition includes a health maintenance |
14 | | organization and a limited health service organization |
15 | | which is incorporated or organized under the laws of any |
16 | | state of the United States other than this State. |
17 | | (c) "Alien company" means a company as defined in |
18 | | Section 2 of this Code which is incorporated or organized |
19 | | under the laws of any country other than the United |
20 | | States. |
21 | | (d) "Fraternal benefit society" means a corporation, |
22 | | society, order, lodge or voluntary association as defined |
23 | | in Section 282.1 of this Code. |
24 | | (e) "Mutual benefit association" means a company, |
25 | | association or corporation authorized by the Director to |
26 | | do business in this State under the provisions of Article |
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1 | | XVIII of this Code. |
2 | | (f) "Burial society" means a person, firm, |
3 | | corporation, society or association of individuals |
4 | | authorized by the Director to do business in this State |
5 | | under the provisions of Article XIX of this Code. |
6 | | (g) "Farm mutual" means a district, county and |
7 | | township mutual insurance company authorized by the |
8 | | Director to do business in this State under the provisions |
9 | | of the Farm Mutual Insurance Company Act of 1986. |
10 | | (Source: P.A. 102-775, eff. 5-13-22.) |
11 | | (Text of Section after amendment by P.A. 103-75 ) |
12 | | Sec. 408. Fees and charges. |
13 | | (1) The Director shall charge, collect and give proper |
14 | | acquittances for the payment of the following fees and |
15 | | charges: |
16 | | (a) For filing all documents submitted for the |
17 | | incorporation or organization or certification of a |
18 | | domestic company, except for a fraternal benefit society, |
19 | | $2,000. |
20 | | (b) For filing all documents submitted for the |
21 | | incorporation or organization of a fraternal benefit |
22 | | society, $500. |
23 | | (c) For filing amendments to articles of incorporation |
24 | | and amendments to declaration of organization, except for |
25 | | a fraternal benefit society, a mutual benefit association, |
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1 | | a burial society or a farm mutual, $200. |
2 | | (d) For filing amendments to articles of incorporation |
3 | | of a fraternal benefit society, a mutual benefit |
4 | | association or a burial society, $100. |
5 | | (e) For filing amendments to articles of incorporation |
6 | | of a farm mutual, $50. |
7 | | (f) For filing bylaws or amendments thereto, $50. |
8 | | (g) For filing agreement of merger or consolidation: |
9 | | (i) for a domestic company, except for a fraternal |
10 | | benefit society, a mutual benefit association, a |
11 | | burial society, or a farm mutual, $2,000. |
12 | | (ii) for a foreign or alien company, except for a |
13 | | fraternal benefit society, $600. |
14 | | (iii) for a fraternal benefit society, a mutual |
15 | | benefit association, a burial society, or a farm |
16 | | mutual, $200. |
17 | | (h) For filing agreements of reinsurance by a domestic |
18 | | company, $200. |
19 | | (i) For filing all documents submitted by a foreign or |
20 | | alien company to be admitted to transact business or |
21 | | accredited as a reinsurer in this State, except for a |
22 | | fraternal benefit society, $5,000. |
23 | | (j) For filing all documents submitted by a foreign or |
24 | | alien fraternal benefit society to be admitted to transact |
25 | | business in this State, $500. |
26 | | (k) For filing declaration of withdrawal of a foreign |
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| | SB1479 Engrossed | - 60 - | LRB103 05817 BMS 50837 b |
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1 | | or alien company, $50. |
2 | | (l) For filing annual statement by a domestic company, |
3 | | except a fraternal benefit society, a mutual benefit |
4 | | association, a burial society, or a farm mutual, $200. |
5 | | (m) For filing annual statement by a domestic |
6 | | fraternal benefit society, $100. |
7 | | (n) For filing annual statement by a farm mutual, a |
8 | | mutual benefit association, or a burial society, $50. |
9 | | (o) For issuing a certificate of authority or renewal |
10 | | thereof except to a foreign fraternal benefit society, |
11 | | $400. |
12 | | (p) For issuing a certificate of authority or renewal |
13 | | thereof to a foreign fraternal benefit society, $200. |
14 | | (q) For issuing an amended certificate of authority, |
15 | | $50. |
16 | | (r) For each certified copy of certificate of |
17 | | authority, $20. |
18 | | (s) For each certificate of deposit, or valuation, or |
19 | | compliance or surety certificate, $20. |
20 | | (t) For copies of papers or records per page, $1. |
21 | | (u) For each certification to copies of papers or |
22 | | records, $10. |
23 | | (v) For multiple copies of documents or certificates |
24 | | listed in subparagraphs (r), (s), and (u) of paragraph (1) |
25 | | of this Section, $10 for the first copy of a certificate of |
26 | | any type and $5 for each additional copy of the same |
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1 | | certificate requested at the same time, unless, pursuant |
2 | | to paragraph (2) of this Section, the Director finds these |
3 | | additional fees excessive. |
4 | | (w) For issuing a permit to sell shares or increase |
5 | | paid-up capital: |
6 | | (i) in connection with a public stock offering, |
7 | | $300; |
8 | | (ii) in any other case, $100. |
9 | | (x) For issuing any other certificate required or |
10 | | permissible under the law, $50. |
11 | | (y) For filing a plan of exchange of the stock of a |
12 | | domestic stock insurance company, a plan of |
13 | | demutualization of a domestic mutual company, or a plan of |
14 | | reorganization under Article XII, $2,000. |
15 | | (z) For filing a statement of acquisition of a |
16 | | domestic company as defined in Section 131.4 of this Code, |
17 | | $2,000. |
18 | | (aa) For filing an agreement to purchase the business |
19 | | of an organization authorized under the Dental Service |
20 | | Plan Act or the Voluntary Health Services Plans Act or of a |
21 | | health maintenance organization or a limited health |
22 | | service organization, $2,000. |
23 | | (bb) For filing a statement of acquisition of a |
24 | | foreign or alien insurance company as defined in Section |
25 | | 131.12a of this Code, $1,000. |
26 | | (cc) For filing a registration statement as required |
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1 | | in Sections 131.13 and 131.14, the notification as |
2 | | required by Sections 131.16, 131.20a, or 141.4, or an |
3 | | agreement or transaction required by Sections 124.2(2), |
4 | | 141, 141a, or 141.1, $200. |
5 | | (dd) For filing an application for licensing of: |
6 | | (i) a religious or charitable risk pooling trust |
7 | | or a workers' compensation pool, $1,000; |
8 | | (ii) a workers' compensation service company, |
9 | | $500; |
10 | | (iii) a self-insured automobile fleet, $200; or |
11 | | (iv) a renewal of or amendment of any license |
12 | | issued pursuant to (i), (ii), or (iii) above, $100. |
13 | | (ee) For filing articles of incorporation for a |
14 | | syndicate to engage in the business of insurance through |
15 | | the Illinois Insurance Exchange, $2,000. |
16 | | (ff) For filing amended articles of incorporation for |
17 | | a syndicate engaged in the business of insurance through |
18 | | the Illinois Insurance Exchange, $100. |
19 | | (gg) For filing articles of incorporation for a |
20 | | limited syndicate to join with other subscribers or |
21 | | limited syndicates to do business through the Illinois |
22 | | Insurance Exchange, $1,000. |
23 | | (hh) For filing amended articles of incorporation for |
24 | | a limited syndicate to do business through the Illinois |
25 | | Insurance Exchange, $100. |
26 | | (ii) For a permit to solicit subscriptions to a |
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1 | | syndicate or limited syndicate, $100. |
2 | | (jj) For the filing of each form as required in |
3 | | Section 143 of this Code, $50 per form. Informational and |
4 | | advertising filings shall be $25 per filing. The fee for |
5 | | advisory and rating organizations shall be $200 per form. |
6 | | (i) For the purposes of the form filing fee, |
7 | | filings made on insert page basis will be considered |
8 | | one form at the time of its original submission. |
9 | | Changes made to a form subsequent to its approval |
10 | | shall be considered a new filing. |
11 | | (ii) Only one fee shall be charged for a form, |
12 | | regardless of the number of other forms or policies |
13 | | with which it will be used. |
14 | | (iii) Fees charged for a policy filed as it will be |
15 | | issued regardless of the number of forms comprising |
16 | | that policy shall not exceed $1,500. For advisory or |
17 | | rating organizations, fees charged for a policy filed |
18 | | as it will be issued regardless of the number of forms |
19 | | comprising that policy shall not exceed $2,500. |
20 | | (iv) The Director may by rule exempt forms from |
21 | | such fees. |
22 | | (kk) For filing an application for licensing of a |
23 | | reinsurance intermediary, $500. |
24 | | (ll) For filing an application for renewal of a |
25 | | license of a reinsurance intermediary, $200. |
26 | | (mm) For filing a plan of division of a domestic stock |
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1 | | company under Article IIB, $10,000. |
2 | | (nn) For filing all documents submitted by a foreign |
3 | | or alien company to be a certified reinsurer in this |
4 | | State, except for a fraternal benefit society, $1,000. |
5 | | (oo) For filing a renewal by a foreign or alien |
6 | | company to be a certified reinsurer in this State, except |
7 | | for a fraternal benefit society, $400. |
8 | | (pp) For filing all documents submitted by a reinsurer |
9 | | domiciled in a reciprocal jurisdiction, $1,000. |
10 | | (qq) For filing a renewal by a reinsurer domiciled in |
11 | | a reciprocal jurisdiction, $400. |
12 | | (rr) For registering a captive management company or |
13 | | renewal thereof, $50. |
14 | | (ss) For filing an insurance business transfer plan |
15 | | under Article XLVII, $25,000. |
16 | | (2) When printed copies or numerous copies of the same |
17 | | paper or records are furnished or certified, the Director may |
18 | | reduce such fees for copies if he finds them excessive. He may, |
19 | | when he considers it in the public interest, furnish without |
20 | | charge to state insurance departments and persons other than |
21 | | companies, copies or certified copies of reports of |
22 | | examinations and of other papers and records. |
23 | | (3) (a) The expenses incurred in any performance |
24 | | examination authorized by law shall be paid by the company or |
25 | | person being examined. The charge shall be consistent with |
26 | | that otherwise authorized by law and shall be reasonably |
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1 | | related to the cost of the examination including but not |
2 | | limited to compensation of examiners, electronic data |
3 | | processing costs, supervision and preparation of an |
4 | | examination report and lodging and travel expenses. All |
5 | | lodging and travel expenses shall be in accord with the |
6 | | applicable travel regulations as published by the Department |
7 | | of Central Management Services and approved by the Governor's |
8 | | Travel Control Board, except that out-of-state lodging and |
9 | | travel expenses related to examinations authorized under |
10 | | Section 132 shall be in accordance with travel rates |
11 | | prescribed under paragraph 301-7.2 of the Federal Travel |
12 | | Regulations, 41 C.F.R. 301-7.2, for reimbursement of |
13 | | subsistence expenses incurred during official travel. All |
14 | | lodging and travel expenses may be reimbursed directly upon |
15 | | authorization of the Director. With the exception of the |
16 | | direct reimbursements authorized by the Director, all |
17 | | performance examination charges collected by the Department |
18 | | shall be paid to the Insurance Producer Administration Fund, |
19 | | however, the electronic data processing costs incurred by the |
20 | | Department in the performance of any examination shall be |
21 | | billed directly to the company being examined for payment to |
22 | | the Technology Management Revolving Fund. |
23 | | (b) The costs and fees incurred in a market conduct |
24 | | examination shall be itemized and bills shall be provided to |
25 | | the examinee on a monthly basis for review prior to submission |
26 | | for payment. The Director shall review and affirmatively |
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1 | | endorse detailed billings from any contracted, qualified |
2 | | outside professional assistance retained under Section 402 for |
3 | | market conduct examinations before the detailed billings are |
4 | | sent to the examinee. Before any qualified outside |
5 | | professional assistance conducts billable work on an |
6 | | examination, the Department shall disclose to the examinee the |
7 | | terms of the contracts with the qualified outside professional |
8 | | assistance that will be used, including the fees and hourly |
9 | | rates that can be charged. |
10 | | (4) At the time of any service of process on the Director |
11 | | as attorney for such service, the Director shall charge and |
12 | | collect the sum of $40, which may be recovered as taxable costs |
13 | | by the party to the suit or action causing such service to be |
14 | | made if he prevails in such suit or action. |
15 | | (5) (a) The costs incurred by the Department of Insurance |
16 | | in conducting any hearing authorized by law shall be assessed |
17 | | against the parties to the hearing in such proportion as the |
18 | | Director of Insurance may determine upon consideration of all |
19 | | relevant circumstances including: (1) the nature of the |
20 | | hearing; (2) whether the hearing was instigated by, or for the |
21 | | benefit of a particular party or parties; (3) whether there is |
22 | | a successful party on the merits of the proceeding; and (4) the |
23 | | relative levels of participation by the parties. |
24 | | (b) For purposes of this subsection (5) costs incurred |
25 | | shall mean the hearing officer fees, court reporter fees, and |
26 | | travel expenses of Department of Insurance officers and |
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1 | | employees; provided however, that costs incurred shall not |
2 | | include hearing officer fees or court reporter fees unless the |
3 | | Department has retained the services of independent |
4 | | contractors or outside experts to perform such functions. |
5 | | (c) The Director shall make the assessment of costs |
6 | | incurred as part of the final order or decision arising out of |
7 | | the proceeding; provided, however, that such order or decision |
8 | | shall include findings and conclusions in support of the |
9 | | assessment of costs. This subsection (5) shall not be |
10 | | construed as permitting the payment of travel expenses unless |
11 | | calculated in accordance with the applicable travel |
12 | | regulations of the Department of Central Management Services, |
13 | | as approved by the Governor's Travel Control Board. The |
14 | | Director as part of such order or decision shall require all |
15 | | assessments for hearing officer fees and court reporter fees, |
16 | | if any, to be paid directly to the hearing officer or court |
17 | | reporter by the party(s) assessed for such costs. The |
18 | | assessments for travel expenses of Department officers and |
19 | | employees shall be reimbursable to the Director of Insurance |
20 | | for deposit to the fund out of which those expenses had been |
21 | | paid. |
22 | | (d) The provisions of this subsection (5) shall apply in |
23 | | the case of any hearing conducted by the Director of Insurance |
24 | | not otherwise specifically provided for by law. |
25 | | (6) The Director shall charge and collect an annual |
26 | | financial regulation fee from every domestic company for |
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| | SB1479 Engrossed | - 68 - | LRB103 05817 BMS 50837 b |
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1 | | examination and analysis of its financial condition and to |
2 | | fund the internal costs and expenses of the Interstate |
3 | | Insurance Receivership Commission as may be allocated to the |
4 | | State of Illinois and companies doing an insurance business in |
5 | | this State pursuant to Article X of the Interstate Insurance |
6 | | Receivership Compact. The fee shall be the greater fixed |
7 | | amount based upon the combination of nationwide direct premium |
8 | | income and nationwide reinsurance assumed premium income or |
9 | | upon admitted assets calculated under this subsection as |
10 | | follows: |
11 | | (a) Combination of nationwide direct premium income |
12 | | and nationwide reinsurance assumed premium. |
13 | | (i) $150, if the premium is less than $500,000 and |
14 | | there is no reinsurance assumed premium; |
15 | | (ii) $750, if the premium is $500,000 or more, but |
16 | | less than $5,000,000 and there is no reinsurance |
17 | | assumed premium; or if the premium is less than |
18 | | $5,000,000 and the reinsurance assumed premium is less |
19 | | than $10,000,000; |
20 | | (iii) $3,750, if the premium is less than |
21 | | $5,000,000 and the reinsurance assumed premium is |
22 | | $10,000,000 or more; |
23 | | (iv) $7,500, if the premium is $5,000,000 or more, |
24 | | but less than $10,000,000; |
25 | | (v) $18,000, if the premium is $10,000,000 or |
26 | | more, but less than $25,000,000; |
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1 | | (vi) $22,500, if the premium is $25,000,000 or |
2 | | more, but less than $50,000,000; |
3 | | (vii) $30,000, if the premium is $50,000,000 or |
4 | | more, but less than $100,000,000; |
5 | | (viii) $37,500, if the premium is $100,000,000 or |
6 | | more. |
7 | | (b) Admitted assets. |
8 | | (i) $150, if admitted assets are less than |
9 | | $1,000,000; |
10 | | (ii) $750, if admitted assets are $1,000,000 or |
11 | | more, but less than $5,000,000; |
12 | | (iii) $3,750, if admitted assets are $5,000,000 or |
13 | | more, but less than $25,000,000; |
14 | | (iv) $7,500, if admitted assets are $25,000,000 or |
15 | | more, but less than $50,000,000; |
16 | | (v) $18,000, if admitted assets are $50,000,000 or |
17 | | more, but less than $100,000,000; |
18 | | (vi) $22,500, if admitted assets are $100,000,000 |
19 | | or more, but less than $500,000,000; |
20 | | (vii) $30,000, if admitted assets are $500,000,000 |
21 | | or more, but less than $1,000,000,000; |
22 | | (viii) $37,500, if admitted assets are |
23 | | $1,000,000,000 or more. |
24 | | (c) The sum of financial regulation fees charged to |
25 | | the domestic companies of the same affiliated group shall |
26 | | not exceed $250,000 in the aggregate in any single year |
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1 | | and shall be billed by the Director to the member company |
2 | | designated by the group. |
3 | | (7) The Director shall charge and collect an annual |
4 | | financial regulation fee from every foreign or alien company, |
5 | | except fraternal benefit societies, for the examination and |
6 | | analysis of its financial condition and to fund the internal |
7 | | costs and expenses of the Interstate Insurance Receivership |
8 | | Commission as may be allocated to the State of Illinois and |
9 | | companies doing an insurance business in this State pursuant |
10 | | to Article X of the Interstate Insurance Receivership Compact. |
11 | | The fee shall be a fixed amount based upon Illinois direct |
12 | | premium income and nationwide reinsurance assumed premium |
13 | | income in accordance with the following schedule: |
14 | | (a) $150, if the premium is less than $500,000 and |
15 | | there is no reinsurance assumed premium; |
16 | | (b) $750, if the premium is $500,000 or more, but less |
17 | | than $5,000,000 and there is no reinsurance assumed |
18 | | premium; or if the premium is less than $5,000,000 and the |
19 | | reinsurance assumed premium is less than $10,000,000; |
20 | | (c) $3,750, if the premium is less than $5,000,000 and |
21 | | the reinsurance assumed premium is $10,000,000 or more; |
22 | | (d) $7,500, if the premium is $5,000,000 or more, but |
23 | | less than $10,000,000; |
24 | | (e) $18,000, if the premium is $10,000,000 or more, |
25 | | but less than $25,000,000; |
26 | | (f) $22,500, if the premium is $25,000,000 or more, |
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1 | | but less than $50,000,000; |
2 | | (g) $30,000, if the premium is $50,000,000 or more, |
3 | | but less than $100,000,000; |
4 | | (h) $37,500, if the premium is $100,000,000 or more. |
5 | | The sum of financial regulation fees under this subsection |
6 | | (7) charged to the foreign or alien companies within the same |
7 | | affiliated group shall not exceed $250,000 in the aggregate in |
8 | | any single year and shall be billed by the Director to the |
9 | | member company designated by the group. |
10 | | (8) Beginning January 1, 1992, the financial regulation |
11 | | fees imposed under subsections (6) and (7) of this Section |
12 | | shall be paid by each company or domestic affiliated group |
13 | | annually. After January 1, 1994, the fee shall be billed by |
14 | | Department invoice based upon the company's premium income or |
15 | | admitted assets as shown in its annual statement for the |
16 | | preceding calendar year. The invoice is due upon receipt and |
17 | | must be paid no later than June 30 of each calendar year. All |
18 | | financial regulation fees collected by the Department shall be |
19 | | paid to the Insurance Financial Regulation Fund. The |
20 | | Department may not collect financial examiner per diem charges |
21 | | from companies subject to subsections (6) and (7) of this |
22 | | Section undergoing financial examination after June 30, 1992. |
23 | | (9) In addition to the financial regulation fee required |
24 | | by this Section, a company undergoing any financial |
25 | | examination authorized by law shall pay the following costs |
26 | | and expenses incurred by the Department: electronic data |
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| | SB1479 Engrossed | - 72 - | LRB103 05817 BMS 50837 b |
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1 | | processing costs, the expenses authorized under Section 131.21 |
2 | | and subsection (d) of Section 132.4 of this Code, and lodging |
3 | | and travel expenses. |
4 | | Electronic data processing costs incurred by the |
5 | | Department in the performance of any examination shall be |
6 | | billed directly to the company undergoing examination for |
7 | | payment to the Technology Management Revolving Fund. Except |
8 | | for direct reimbursements authorized by the Director or direct |
9 | | payments made under Section 131.21 or subsection (d) of |
10 | | Section 132.4 of this Code, all financial regulation fees and |
11 | | all financial examination charges collected by the Department |
12 | | shall be paid to the Insurance Financial Regulation Fund. |
13 | | All lodging and travel expenses shall be in accordance |
14 | | with applicable travel regulations published by the Department |
15 | | of Central Management Services and approved by the Governor's |
16 | | Travel Control Board, except that out-of-state lodging and |
17 | | travel expenses related to examinations authorized under |
18 | | Sections 132.1 through 132.7 shall be in accordance with |
19 | | travel rates prescribed under paragraph 301-7.2 of the Federal |
20 | | Travel Regulations, 41 C.F.R. 301-7.2, for reimbursement of |
21 | | subsistence expenses incurred during official travel. All |
22 | | lodging and travel expenses may be reimbursed directly upon |
23 | | the authorization of the Director. |
24 | | In the case of an organization or person not subject to the |
25 | | financial regulation fee, the expenses incurred in any |
26 | | financial examination authorized by law shall be paid by the |
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| | SB1479 Engrossed | - 73 - | LRB103 05817 BMS 50837 b |
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1 | | organization or person being examined. The charge shall be |
2 | | reasonably related to the cost of the examination including, |
3 | | but not limited to, compensation of examiners and other costs |
4 | | described in this subsection. |
5 | | (10) Any company, person, or entity failing to make any |
6 | | payment of $150 or more as required under this Section shall be |
7 | | subject to the penalty and interest provisions provided for in |
8 | | subsections (4) and (7) of Section 412. |
9 | | (11) Unless otherwise specified, all of the fees collected |
10 | | under this Section shall be paid into the Insurance Financial |
11 | | Regulation Fund. |
12 | | (12) For purposes of this Section: |
13 | | (a) "Domestic company" means a company as defined in |
14 | | Section 2 of this Code which is incorporated or organized |
15 | | under the laws of this State, and in addition includes a |
16 | | not-for-profit corporation authorized under the Dental |
17 | | Service Plan Act or the Voluntary Health Services Plans |
18 | | Act, a health maintenance organization, and a limited |
19 | | health service organization. |
20 | | (b) "Foreign company" means a company as defined in |
21 | | Section 2 of this Code which is incorporated or organized |
22 | | under the laws of any state of the United States other than |
23 | | this State and in addition includes a health maintenance |
24 | | organization and a limited health service organization |
25 | | which is incorporated or organized under the laws of any |
26 | | state of the United States other than this State. |
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| | SB1479 Engrossed | - 74 - | LRB103 05817 BMS 50837 b |
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1 | | (c) "Alien company" means a company as defined in |
2 | | Section 2 of this Code which is incorporated or organized |
3 | | under the laws of any country other than the United |
4 | | States. |
5 | | (d) "Fraternal benefit society" means a corporation, |
6 | | society, order, lodge or voluntary association as defined |
7 | | in Section 282.1 of this Code. |
8 | | (e) "Mutual benefit association" means a company, |
9 | | association or corporation authorized by the Director to |
10 | | do business in this State under the provisions of Article |
11 | | XVIII of this Code. |
12 | | (f) "Burial society" means a person, firm, |
13 | | corporation, society or association of individuals |
14 | | authorized by the Director to do business in this State |
15 | | under the provisions of Article XIX of this Code. |
16 | | (g) "Farm mutual" means a district, county and |
17 | | township mutual insurance company authorized by the |
18 | | Director to do business in this State under the provisions |
19 | | of the Farm Mutual Insurance Company Act of 1986. |
20 | | (Source: P.A. 102-775, eff. 5-13-22; 103-75, eff. 1-1-25.) |
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21 | | (215 ILCS 5/511.109) (from Ch. 73, par. 1065.58-109) |
22 | | (Section scheduled to be repealed on January 1, 2027) |
23 | | Sec. 511.109. Examination. |
24 | | (a) The Director or the Director's his designee may |
25 | | examine any applicant for or holder of an administrator's |
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| | SB1479 Engrossed | - 75 - | LRB103 05817 BMS 50837 b |
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1 | | license in accordance with Sections 132 through 132.7. If the |
2 | | Director or the examiners find that the administrator has |
3 | | violated this Article or any other insurance-related laws, |
4 | | rules, or regulations under the Director's jurisdiction |
5 | | because of the manner in which the administrator has conducted |
6 | | business on behalf of an insurer or plan sponsor, then, unless |
7 | | the insurer or plan sponsor is included in the examination and |
8 | | has been afforded the same opportunity to request or |
9 | | participate in a hearing on the examination report, the |
10 | | examination report shall not allege a violation by the insurer |
11 | | or plan sponsor and the Director's order based on the report |
12 | | shall not impose any requirements, prohibitions, or penalties |
13 | | on the insurer or plan sponsor. Nothing in this Section shall |
14 | | prevent the Director from using any information obtained |
15 | | during the examination of an administrator to examine, |
16 | | investigate, or take other appropriate regulatory or legal |
17 | | action with respect to an insurer or plan sponsor . |
18 | | (b) Any administrator being examined shall provide to the |
19 | | Director or his designee convenient and free access, at all |
20 | | reasonable hours at their offices, to all books, records, |
21 | | documents and other papers relating to such administrator's |
22 | | business affairs. |
23 | | (c) The Director or his designee may administer oaths and |
24 | | thereafter examine any individual about the business of the |
25 | | administrator. |
26 | | (d) The examiners designated by the Director pursuant to |
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1 | | this Section may make reports to the Director. Any report |
2 | | alleging substantive violations of this Article, any |
3 | | applicable provisions of the Illinois Insurance Code, or any |
4 | | applicable Part of Title 50 of the Illinois Administrative |
5 | | Code shall be in writing and be based upon facts obtained by |
6 | | the examiners. The report shall be verified by the examiners. |
7 | | (e) If a report is made, the Director shall either deliver |
8 | | a duplicate thereof to the administrator being examined or |
9 | | send such duplicate by certified or registered mail to the |
10 | | administrator's address specified in the records of the |
11 | | Department. The Director shall afford the administrator an |
12 | | opportunity to request a hearing to object to the report. The |
13 | | administrator may request a hearing within 30 days after |
14 | | receipt of the duplicate of the examination report by giving |
15 | | the Director written notice of such request together with |
16 | | written objections to the report. Any hearing shall be |
17 | | conducted in accordance with Sections 402 and 403 of this |
18 | | Code. The right to hearing is waived if the delivery of the |
19 | | report is refused or the report is otherwise undeliverable or |
20 | | the administrator does not timely request a hearing. After the |
21 | | hearing or upon expiration of the time period during which an |
22 | | administrator may request a hearing, if the examination |
23 | | reveals that the administrator is operating in violation of |
24 | | any applicable provision of the Illinois Insurance Code, any |
25 | | applicable Part of Title 50 of the Illinois Administrative |
26 | | Code or prior order, the Director, in the written order, may |
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1 | | require the administrator to take any action the Director |
2 | | considers necessary or appropriate in accordance with the |
3 | | report or examination hearing. If the Director issues an |
4 | | order, it shall be issued within 90 days after the report is |
5 | | filed, or if there is a hearing, within 90 days after the |
6 | | conclusion of the hearing. The order is subject to review |
7 | | under the Administrative Review Law. |
8 | | (Source: P.A. 84-887 .) |
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9 | | (215 ILCS 5/512-3) (from Ch. 73, par. 1065.59-3) |
10 | | Sec. 512-3. Definitions. For the purposes of this Article, |
11 | | unless the context otherwise requires, the terms defined in |
12 | | this Article have the meanings ascribed to them herein: |
13 | | "Health care payer" means an insurance company, health |
14 | | maintenance organization, limited health service organization, |
15 | | health services plan corporation, or dental service plan |
16 | | corporation authorized to do business in this State. |
17 | | (a) "Third party prescription program" or "program" means |
18 | | any system of providing for the reimbursement of |
19 | | pharmaceutical services and prescription drug products offered |
20 | | or operated in this State under a contractual arrangement or |
21 | | agreement between a provider of such services and another |
22 | | party who is not the consumer of those services and products. |
23 | | Such programs may include, but need not be limited to, |
24 | | employee benefit plans whereby a consumer receives |
25 | | prescription drugs or other pharmaceutical services and those |
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1 | | services are paid for by an agent of the employer or others. |
2 | | (b) "Third party program administrator" or "administrator" |
3 | | means any person, partnership or corporation who issues or |
4 | | causes to be issued any payment or reimbursement to a provider |
5 | | for services rendered pursuant to a third party prescription |
6 | | program, but does not include the Director of Healthcare and |
7 | | Family Services or any agent authorized by the Director to |
8 | | reimburse a provider of services rendered pursuant to a |
9 | | program of which the Department of Healthcare and Family |
10 | | Services is the third party. |
11 | | (Source: P.A. 95-331, eff. 8-21-07.) |
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12 | | (215 ILCS 5/512-5) (from Ch. 73, par. 1065.59-5) |
13 | | Sec. 512-5. Fiduciary and Bonding Requirements. A third |
14 | | party prescription program administrator shall (1) establish |
15 | | and maintain a fiduciary account, separate and apart from any |
16 | | and all other accounts, for the receipt and disbursement of |
17 | | funds for reimbursement of providers of services under the |
18 | | program, or (2) post, or cause to be posted, a bond of |
19 | | indemnity in an amount equal to not less than 10% of the total |
20 | | estimated annual reimbursements under the program. |
21 | | The establishment of such fiduciary accounts and bonds |
22 | | shall be consistent with applicable State law. If a bond of |
23 | | indemnity is posted, it shall be held by the Director of |
24 | | Insurance for the benefit and indemnification of the providers |
25 | | of services under the third party prescription program. |
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1 | | An administrator who operates more than one third party |
2 | | prescription program may establish and maintain a separate |
3 | | fiduciary account or bond of indemnity for each such program, |
4 | | or may operate and maintain a consolidated fiduciary account |
5 | | or bond of indemnity for all such programs. |
6 | | The requirements of this Section do not apply to any third |
7 | | party prescription program administered by or on behalf of any |
8 | | health care payer insurance company, Health Care Service Plan |
9 | | Corporation or Pharmaceutical Service Plan Corporation |
10 | | authorized to do business in the State of Illinois . |
11 | | (Source: P.A. 82-1005.) |
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12 | | (215 ILCS 5/512-11 new) |
13 | | Sec. 512-11. Examination. The Director or the Director's |
14 | | designee may examine any applicant for or holder of an |
15 | | administrator's registration in accordance with Sections 132 |
16 | | through 132.7 of this Code. If the Director or the examiners |
17 | | find that the administrator has violated this Article or any |
18 | | other insurance-related laws or regulations under the |
19 | | Director's jurisdiction because of the manner in which the |
20 | | administrator has conducted business on behalf of a separately |
21 | | incorporated health care payer, then, unless the health care |
22 | | payer is included in the examination and has been afforded the |
23 | | same opportunity to request or participate in a hearing on the |
24 | | examination report, the examination report shall not allege a |
25 | | violation by the health care payer and the Director's order |
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1 | | based on the report shall not impose any requirements, |
2 | | prohibitions, or penalties on the health care payer. Nothing |
3 | | in this Section shall prevent the Director from using any |
4 | | information obtained during the examination of an |
5 | | administrator to examine, investigate, or take other |
6 | | appropriate regulatory or legal action with respect to a |
7 | | health care payer. |
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8 | | (215 ILCS 5/513b3) |
9 | | Sec. 513b3. Examination. (a) The Director, or his or her |
10 | | designee, may examine a registered pharmacy benefit manager in |
11 | | accordance with Sections 132-132.7. If the Director or the |
12 | | examiners find that the pharmacy benefit manager has violated |
13 | | this Article or any other insurance-related laws, rules, or |
14 | | regulations under the Director's jurisdiction because of the |
15 | | manner in which the pharmacy benefit manager has conducted |
16 | | business on behalf of a health insurer or plan sponsor, then, |
17 | | unless the health insurer or plan sponsor is included in the |
18 | | examination and has been afforded the same opportunity to |
19 | | request or participate in a hearing on the examination report, |
20 | | the examination report shall not allege a violation by the |
21 | | health insurer or plan sponsor and the Director's order based |
22 | | on the report shall not impose any requirements, prohibitions, |
23 | | or penalties on the health insurer or plan sponsor. Nothing in |
24 | | this Section shall prevent the Director from using any |
25 | | information obtained during the examination of an |
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1 | | administrator to examine, investigate, or take other |
2 | | appropriate regulatory or legal action with respect to a |
3 | | health insurer or plan sponsor . |
4 | | (b) Any pharmacy benefit manager being examined shall |
5 | | provide to the Director, or his or her designee, convenient |
6 | | and free access to all books, records, documents, and other |
7 | | papers relating to such pharmacy benefit manager's business |
8 | | affairs at all reasonable hours at its offices. |
9 | | (c) The Director, or his or her designee, may administer |
10 | | oaths and thereafter examine the pharmacy benefit manager's |
11 | | designee, representative, or any officer or senior manager as |
12 | | listed on the license or registration certificate about the |
13 | | business of the pharmacy benefit manager. |
14 | | (d) The examiners designated by the Director under this |
15 | | Section may make reports to the Director. Any report alleging |
16 | | substantive violations of this Article, any applicable |
17 | | provisions of this Code, or any applicable Part of Title 50 of |
18 | | the Illinois Administrative Code shall be in writing and be |
19 | | based upon facts obtained by the examiners. The report shall |
20 | | be verified by the examiners. |
21 | | (e) If a report is made, the Director shall either deliver |
22 | | a duplicate report to the pharmacy benefit manager being |
23 | | examined or send such duplicate by certified or registered |
24 | | mail to the pharmacy benefit manager's address specified in |
25 | | the records of the Department. The Director shall afford the |
26 | | pharmacy benefit manager an opportunity to request a hearing |
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1 | | to object to the report. The pharmacy benefit manager may |
2 | | request a hearing within 30 days after receipt of the |
3 | | duplicate report by giving the Director written notice of such |
4 | | request together with written objections to the report. Any |
5 | | hearing shall be conducted in accordance with Sections 402 and |
6 | | 403 of this Code. The right to a hearing is waived if the |
7 | | delivery of the report is refused or the report is otherwise |
8 | | undeliverable or the pharmacy benefit manager does not timely |
9 | | request a hearing. After the hearing or upon expiration of the |
10 | | time period during which a pharmacy benefit manager may |
11 | | request a hearing, if the examination reveals that the |
12 | | pharmacy benefit manager is operating in violation of any |
13 | | applicable provision of this Code, any applicable Part of |
14 | | Title 50 of the Illinois Administrative Code, a provision of |
15 | | this Article, or prior order, the Director, in the written |
16 | | order, may require the pharmacy benefit manager to take any |
17 | | action the Director considers necessary or appropriate in |
18 | | accordance with the report or examination hearing. If the |
19 | | Director issues an order, it shall be issued within 90 days |
20 | | after the report is filed, or if there is a hearing, within 90 |
21 | | days after the conclusion of the hearing. The order is subject |
22 | | to review under the Administrative Review Law. |
23 | | (Source: P.A. 101-452, eff. 1-1-20 .) |
24 | | Section 95. No acceleration or delay. Where this Act makes |
25 | | changes in a statute that is represented in this Act by text |