THE ONE HUNDRED AND NINETEENTH DAY
Carson City (Sunday), June 1, 2003
Senate called to order at 11:51 a.m.
President Hunt presiding.
Roll called.
All present.
Prayer by the Chaplain, Pastor Albert Tilstra.
Our Father, since we cannot always do what we like, grant that we
may like what we must do knowing that truth will one day be vindicated and
right in the end must prevail. Bless Your servants, this day, and keep them all
in Your peace.
Amen.
Pledge of allegiance to the Flag.
Senator Raggio moved that further reading of the Journal be dispensed with, and the President and Secretary be authorized to make the necessary corrections and additions.
Motion carried.
REPORTS
OF COMMITTEES
Madam
President:
Your Committee on Finance, to which was re-referred Senate Bill No. 184, has had the same under consideration, and begs leave to report the same back with the recommendation: Amend, and do pass as amended.
William J. Raggio, Chairman
Madam
President:
Your
Committee on Taxation, to which was referred Assembly Bill No. 533, has had the
same under consideration, and begs leave to report the same back with the
recommendation: Amend, and do pass as amended.
Mike McGinness, Chairman
MESSAGES FROM THE ASSEMBLY
Assembly
Chamber, Carson
City, May 31, 2003
To the
Honorable the Senate:
I
have the honor to inform your honorable body that the Assembly on this day
passed, as amended, Assembly Bill No. 490.
Also,
I have the honor to inform your honorable body that the Assembly on this day
adopted Senate Concurrent Resolution No. 31.
Also, I have the honor to inform your honorable body that the Assembly amended, and on this day adopted, as amended, Senate Concurrent Resolution No. 13, Amendment No. 962, and respectfully requests your honorable body to concur in said amendment.
Also,
I have the honor to inform your honorable body that the Assembly on this day
appointed Assemblymen Horne, Geddes and Conklin as a first Conference Committee
concerning Assembly Bill No. 250.
Also,
I have the honor to inform your honorable body that the Assembly on this day
appointed Assemblymen Brown, Goldwater and Oceguera as a first Conference
Committee concerning Assembly Bill No. 493.
Also, I
have the honor to inform your honorable body that the Assembly on this day
adopted the report of the first Conference Committee concerning Senate Bills
Nos. 34, 102, 193.
INTRODUCTION, FIRST READING
AND REFERENCE
By the Committee on Finance:
Senate Bill No. 504—AN ACT relating to state financial administration; authorizing expenditures by various officers departments, boards, agencies, commissions and institutions of the state government for the fiscal years commencing July 1, 2003, and ending June 30, 2004, and beginning July 1, 2004, and ending June 30, 2005; authorizing the collection of certain amounts from the counties for the use of the services of the State Public Defender; transferring the State Printing Division of the Department of Administration to the Legislative Counsel Bureau; and providing other matters properly relating thereto.
Senator Raggio moved that the bill be referred to the Committee on Finance.
Motion carried.
By the Committee on Finance:
Senate Bill No. 505—AN ACT making conditional appropriations to the National Judicial College and the Louis W. McHardy National College of Juvenile and Family Justice; and providing other matters properly relating thereto.
Senator Raggio moved that the bill be referred to the Committee on Finance.
Motion carried.
By the Committee on Finance:
Senate Bill No. 506—AN ACT relating to state financial administration; authorizing the sale of the National Guard Armory located in Carson City under certain circumstances; and providing other matters properly relating thereto.
Senator Raggio moved that the bill be referred to the Committee on Finance.
Motion carried.
Assembly Bill No. 490.
Senator Rawson moved that the bill be referred to the Committee on Commerce and Labor.
Motion carried.
UNFINISHED BUSINESS
Consideration
of Assembly Amendments
Senate Bill No. 420.
The following Assembly amendment was read:
Amendment No. 935.
Amend the bill as a whole by adding new sections designated sections 3.3 and 3.7, following sec. 3, to read as follows:
“Sec. 3.3. NRS 501.171 is hereby amended to read as follows:
501.171 1. A county advisory board to manage wildlife shall submit written nominations for appointments to the Commission upon the request of the Governor and may submit nominations at any other time.
2. After consideration of the written nominations submitted by a county advisory board to manage wildlife and any additional candidates for appointment to the Commission, the Governor shall appoint to the Commission:
(a) One member who is actively engaged in the conservation of wildlife;
(b) One member who is actively engaged in farming;
(c) One member who is actively engaged in ranching;
(d) One member who represents the interests of the general public; and
(e) Five members who during at least 3 of the 4 years immediately preceding their appointment held a resident license to fish or hunt, or both, in Nevada.
3. The Governor shall not appoint to the Commission any person who has been convicted of:
(a) A felony or gross
misdemeanor for a violation of NRS 501.376
; [, 502.060 or 504.395; or]
(b) A gross misdemeanor for
a violation of NRS 502.060 or 504.395; or
(c) Two or more violations of the provisions of chapters 501 to 504, inclusive, of NRS, during the previous 10 years.
4. Not more than three members may be from the same county whose population is 400,000 or more, not more than two members may be from the same county whose population is 100,000 or more but less than 400,000, and not more than one member may be from the same county whose population is less than 100,000.
5. The Commission shall annually select a Chairman and a Vice‑Chairman from among its members. A person shall not serve more than two consecutive terms as Chairman.
Sec. 3.7. NRS 501.172 is hereby amended to read as follows:
501.172 1. A member of the Commission may be removed from office for just cause.
2. A member of the Commission must be removed from office for:
(a) A conviction of a felony
or gross misdemeanor for a violation of NRS 501.376 ; [, 502.060 or 504.395; or]
(b) A conviction of a gross
misdemeanor for a violation of NRS 502.060 or 504.395; or
(c) Two or more convictions of violating the provisions of chapters 501 to 504, inclusive, of NRS.”.
Amend
the bill as a whole by renumbering sec. 4.5 as sec. 4.3 and adding a new
section designated sec. 4.7, following sec. 4.5, to read as follows:
“Sec. 4.7. NRS 501.376 is hereby amended to read as follows:
501.376 1. [Any person who unlawfully kills or
possesses] Except as otherwise
provided in this section, a person shall not intentionally kill or aid and abet
another person to kill a bighorn sheep, mountain goat, elk, deer, pronghorn
antelope, mountain lion or black bear [without a valid tag is guilty of a
gross misdemeanor. This subsection does not prohibit the killing of such an
animal if necessary to protect the life or property of any person in imminent
danger of being attacked by such an animal.
2.] :
(a) Outside of the
prescribed season set by the Commission for the lawful hunting of that animal;
(b) Through the use of an
aircraft, helicopter or motor-driven vehicle in violation of NRS 503.010;
(c) By a method other than
the method prescribed on the tag issued by the Division for hunting that
animal;
(d) In a manner, during a
time or in a place otherwise prohibited by a specific statute or a regulation
adopted by the Commission; or
(e) Without a valid tag
issued by the Division for hunting that animal. A tag issued for
hunting any [big game mammal] animal
specified in this subsection [1]
is not valid if knowingly used by a person:
[(a)] (1) Other
than the person specified on the tag;
[(b)] (2) Outside
of the management area or other area specified on the tag;
[(c) Outside of the dates established by the Commission for
the lawful taking of the big game mammal specified on the tag;
(d) Outside of the hours set pursuant to NRS 503.140 for the
lawful hunting of the big game mammal specified on the tag; or
(e)] or
(3) If the tag was
obtained by a false or fraudulent representation.
2. The provisions of subsection 1 do not
prohibit the killing of an animal specified in subsection 1 if:
(a) The killing of the
animal is necessary to protect the life or property of any person in imminent
danger of being attacked by the animal; or
(b) The animal killed was
not the intended target of the person who killed the animal and the killing of
the animal which was the intended target would not violate the provisions of
subsection 1.
3. A person who violates the provisions of
subsection 1 shall be punished for a category E felony as provided in NRS
193.130 or, if the court reduces the penalty pursuant to this subsection, for a
gross misdemeanor. In determining whether to reduce the penalty, the court
shall consider:
(a) The nature of the
offense;
(b) The circumstances
surrounding the offense;
(c) The defendant’s
understanding and appreciation of the gravity of the offense;
(d) The attitude of the
defendant towards the offense; and
(e) The general objectives
of sentencing.
4. A person shall not willfully possess any
animal specified in subsection 1 if the person knows the animal was killed
in violation of subsection 1 or the circumstances should have caused a reasonable
person to know that the animal was killed in violation of subsection 1.
5. A person who violates the provisions of
subsection 4 is guilty of a gross misdemeanor.”.
Amend
the bill as a whole by adding a new section designated sec. 5.5, following sec.
5, to read as follows:
“Sec. 5.5. NRS 501.388 is hereby amended to read as follows:
501.388 1. The Commission may, in addition to any suspension, revocation or other penalty imposed pursuant to any other provision of this title:
(a) Revoke any license of any person who is convicted of a violation of NRS 503.050, and may refuse to issue any new license to the convicted person for any period not to exceed 5 years after the date of the conviction; and
(b) Revoke any license of any person who is convicted of
unlawfully killing or possessing a bighorn sheep, mountain goat, elk, deer,
pronghorn antelope, mountain lion or black bear [without a valid tag,] in violation of NRS 501.376, and may:
(1) Refuse to issue any new license to the convicted person for any period not to exceed 3 years; and
(2) Revoke that person’s privilege to apply for any big game tag for a period not to exceed 10 years.
2. The court in which the conviction is had shall require the immediate surrender of all such licenses and shall forward them to the Commission.”.
Amend sec. 45, page 24, line 4, after “4.” by inserting:
“Sections 3.3, 3.7, 4.7 and 5.5 of this act become effective on October 1, 2003.
5.”.
Amend sec. 45, page 24, line 6, by deleting:
“5. Sections 4.5,” and inserting:
“6. Sections 4.3,”.
Amend sec. 45, page 24, line 8, by deleting “6.” and inserting “7.”.
Amend the title of the bill to read as follows:
“AN ACT relating to wildlife; revising provisions relating to the qualifications of members of the Board of Wildlife Commissioners; revising provisions governing the killing or possessing of certain animals; authorizing the Division of Wildlife of the State Department of Conservation and Natural Resources under certain circumstances to suspend, revoke, or refuse to issue or renew any license, tag, permit, certificate or other document of a person who fails to pay a civil penalty timely; prohibiting certain persons from hunting certain upland game birds under certain circumstances; imposing and revising certain fees; creating the Wildlife Obligated Reserve Account in the State General Fund; requiring the Commission to adopt certain regulations; providing penalties; and providing other matters properly relating thereto.”.
Amend the summary of the bill to read as follows:
“SUMMARY—Makes various changes relating to wildlife. (BDR 45‑1254)”.
Senator Raggio moved that the Senate concur in the Assembly amendment to Senate Bill No. 420.
Remarks by Senator Raggio.
Motion carried by a two-thirds majority.
Bill ordered enrolled.
Senate Bill No. 460.
The following Assembly amendment was read:
Amendment No. 749.
Amend sec. 3, page 2, line 15, by deleting “60” and inserting “90”.
Amend sec. 4, page 2, line 44, by deleting “60” and inserting “90”.
Senator Rawson moved that the Senate concur in the Assembly amendment to Senate Bill No. 460.
Remarks by Senator Rawson.
Motion carried by a constitutional majority.
Bill ordered enrolled.
Recede
From Senate Amendments
Senator Raggio moved that the Senate do not recede from its action on Assembly Bill No. 249, that a conference be requested, and that Madam President appoint a first Conference Committee consisting of three members to meet with a like committee of the Assembly.
Remarks by Senator Raggio.
Motion carried.
Bill ordered transmitted to the Assembly.
Appointment of Conference Committees
Madam President appointed Senators Rawson, Mathews and Coffin as a first Conference Committee to meet with a like committee of the Assembly for the further consideration of Assembly Bill No. 249.
Reports
of Conference Committees
Madam President:
The first Conference Committee concerning
Senate Bill No. 231, consisting of the undersigned members, has met and reports
that:
It has agreed to recommend that the
amendment of the Assembly be concurred in.
It has agreed to recommend that the bill be
further amended as set forth in Conference Amendment No. 21, which is attached
to and hereby made a part of this report.
Conference Amendment.
Amend
sec. 9, page 4, by deleting lines 5 through 25 and inserting:
“426.790 1. A person shall not [willfully and
maliciously:
(a) Interfere with;
(b) Harass or intimidate;
(c) Beat; or
(d) Kill,
a guide dog, hearing dog,
helping dog or other] :
(a) Without legal
justification, interfere with, or allow a dog he owns, harbors or controls to
interfere with, the use of a service animal by obstructing, intimidating or
otherwise jeopardizing the safety of the service animal or the person using the
service animal.
(b) Willfully and
maliciously beat a service animal.
(c) Willfully and
maliciously kill a service animal.
2. [Any] A person who violates:
(a) Paragraph (a) of subsection 1 is guilty of a gross misdemeanor.
(b) Paragraph (b) of subsection 1 is guilty of a [gross
misdemeanor.] category E felony and
shall be punished as provided in NRS 193.130.
(c) Paragraph (c) of subsection 1 is guilty of a category D
felony and shall be punished as provided in NRS 193.130.
[(d) Paragraph (d) of subsection 1 is guilty of a category C
felony and shall be punished as provided in NRS 193.130.]”.
Amend the title of the bill, fourth line, after “service
animals;” by inserting: “revising certain penalties relating to crimes against
service animals;”.
Dina
Titus |
Peggy
Pierce |
Valerie
Wiener |
Sheila
Leslie |
Barbara
Cegavske |
Valerie
Weber |
Senate Conference Committee |
Assembly Conference Committee |
Senator Titus
moved that the Senate adopt the report of the first Conference Committee
concerning Senate Bill No. 231.
Remarks by Senator
Titus.
Motion carried by a constitutional majority.
Madam President:
The first Conference Committee concerning
Senate Bill No. 359, consisting of the undersigned members, has met and reports
that:
It has agreed to recommend that the
amendment of the Assembly be concurred in.
It has agreed to recommend that the bill be
further amended as set forth in Conference Amendment No. 29, which is attached
to and hereby made a part of this report.
Conference Amendment.
Amend
the bill as a whole by adding the following assemblywoman as a nonprimary joint
sponsor:
Assemblywoman Ohrenschall.
Ann
O'Connell |
Genie
Ohrenschall |
Dina
Titus |
Wendell
P. Williams |
Warren
B. Hardy |
Valerie
Weber |
Senate Conference Committee |
Assembly Conference Committee |
Senator O'Connell
moved that the Senate adopt the report of the first Conference Committee
concerning Senate Bill No. 359.
Remarks by Senator
O'Connell.
Motion carried by a constitutional majority.
Madam President:
The first Conference Committee concerning
Assembly Bill No. 114, consisting of the undersigned members, has met and
reports that:
It has agreed to recommend that the amendment of the Senate be concurred in.
Warren B. Hardy |
Wendell P. Williams |
Sandra Tiffany |
Peggy Pierce |
Dina Titus |
Pete Goicoechea |
Senate Conference Committee |
Assembly Conference
Committee |
Senator Hardy moved that the Senate adopt the report of the first Conference Committee concerning Assembly Bill No. 114.
Remarks by Senator Hardy.
Motion carried by a constitutional majority.
Madam
President:
The
first Conference Committee concerning Assembly Bill No. 388, consisting of the
undersigned members, has met and reports that:
It has agreed to recommend that the amendment of the Senate be concurred in.
Randolph J. Townsend |
Ellen Koivisto |
Warren B. Hardy |
Bob McCleary |
Terry Care |
Chad Christensen |
Senate Conference Committee |
Assembly Conference
Committee |
Senator Townsend moved that the Senate adopt the report of the first Conference Committee concerning Assembly Bill No. 388.
Remarks by Senator Townsend.
Motion carried by a constitutional majority.
Madam
President:
The
first Conference Committee concerning Assembly Bill No. 398, consisting of the
undersigned members, has met and reports that:
It
has agreed to recommend that the amendment of the Senate be concurred in.
It
has agreed to recommend that the bill be further amended as set forth in
Conference Amendment No. 25, which is attached to and hereby made a part of
this report.
Conference
Amendment.
Amend sec. 10, page 6, line 35, by deleting “20” and inserting “15”.
Amend sec. 10, page 6, by deleting lines 39 through 42 and
inserting:
“3. The period over which payments are made on a
performance contract must equal the period over which the operating cost
savings are amortized. Payments on a performance contract must not commence
until the operating cost-savings measures have been installed by the qualified
service company.”.
Amend sec. 24, page 13, line 41, by deleting “20” and inserting “15”.
Randolph J. Townsend |
Sheila Leslie |
Warren B. Hardy |
Kelvin Atkinson |
Terry Care |
Tom Grady |
Senate Conference Committee |
Assembly Conference
Committee |
Senator Townsend moved that the Senate adopt the report of the first Conference Committee concerning Assembly Bill No. 398.
Remarks by Senator Townsend.
Motion carried by a constitutional majority.
Madam
President:
The
first Conference Committee concerning Assembly Bill No. 444, consisting of the
undersigned members, has met and reports that:
It
has agreed to recommend that the amendment of the Senate be concurred in.
It
has agreed to recommend that the bill be further amended as set forth in
Conference Amendment No. 19, which is attached to and hereby made a part of
this report.
Amend sec. 2.5, page 3, line 44, by deleting: “benches , [and] shelters and stations” and inserting: “benches
and shelters”.
Amend sec. 2.5, page 4, line 2, by deleting “or 705.695” and inserting: “,
or on monorail stations.”.
Amend sec. 2.5, page 4, between lines 27 and 28, by inserting:
“6. As used in this section, “monorail station”
means:
(a) A structure for the
loading and unloading of passengers from a monorail for which a franchise has
been granted pursuant to NRS 705.695 or an agreement has been entered into
pursuant to NRS 705.695; and
(b) Any facilities or
appurtenances within such a structure.”.
Amend sec. 10, page 7, by deleting lines 28 through 38 and
inserting: “purpose of making a left-hand turn.
(b) A
vehicle must not travel more than 200 feet in a center turn lane before making
a left‑hand turn.”.
Amend the
bill as a whole by adding a new section designated sec. 24.5, following sec.
24, to read as follows:
“Sec. 24.5. NRS 484.473 is hereby amended to
read as follows:
484.473 1. Except
as otherwise provided in subsections 2 and 4, a driver shall not permit a
person, with regard to a motor vehicle being operated on a paved highway , [within a county whose population
is 100,000 or more,] to ride upon or within any portion of the vehicle that
is primarily designed or intended for carrying goods or other cargo or that is
otherwise not designed or intended for the use of passengers, including,
without limitation:
(a) Upon the bed of a flatbed truck; or
(b) Within the bed of a pickup truck.
2. A driver may permit a
person to ride upon the bed of a flatbed truck or within the bed of a pickup
truck if the person is:
(a) Eighteen years of age or older; or
(b) Under 18 years of age and the motor vehicle is:
(1) [Not being operated on a freeway or other road that
has two or more lanes for traffic traveling in one direction;
(2)] Being used in the course of farming or ranching;
or
[(3)] (2) Being
driven in a parade authorized by a local authority.
3. A citation must be
issued to a driver who permits a person to ride upon [the bed of a flatbed
truck] or within [the bed of a pickup truck] a vehicle in violation of subsection 1. A driver who is cited
pursuant to this subsection shall be punished by a fine of at least $35 but not
more than $100.
4. The provisions of
subsection 1 do not apply to the portion of the bed of a truck that is covered
by a camper shell or slide-in camper.
5. A violation of this
section:
(a) Is not a moving traffic violation for the purposes of NRS
483.473; and
(b) May not be considered as:
(1) Negligence or causation in a civil action; or
(2) Negligent or reckless driving for the purposes of NRS
484.377.
6. As used in this
section:
(a) “Camper shell” has the meaning ascribed to it in NRS 361.017.
(b) [“Freeway” has the meaning ascribed to it in NRS 408.060.
(c)] “Slide-in camper” has the meaning ascribed to it in
NRS 482.113.”.
Amend sec. 26, page 15, line 16, by deleting: “benches , [and] shelters and stations” and inserting: “benches
and shelters”.
Amend sec. 26, page 15, line 19, by deleting “or 705.695,” and inserting: “, or on monorail stations,”.
Amend sec. 26, page 16, between lines 9 and 10, by inserting:
“5. As used in this section, “monorail station”
means:
(a) A structure for the
loading and unloading of passengers from a monorail for which a franchise has
been granted pursuant to NRS 705.695 or an agreement has been entered into
pursuant to NRS 705.695; and
(b) Any facilities or
appurtenances within such a structure.”.
Amend sec. 27, page 16, line 11, by deleting: “benches , [and] shelters and stations” and inserting: “benches
and shelters”.
Amend sec. 27, page 16, line 14, by deleting “or 705.695,” and inserting: “, or on monorail stations,”.
Amend sec. 27, page 18, after line 4, by inserting:
“8. As used in this section, “monorail station”
means:
(a) A structure for the
loading and unloading of passengers from a monorail for which a franchise has
been granted pursuant to NRS 705.695 or an agreement has been entered into
pursuant to NRS 705.695; and
(b) Any facilities or
appurtenances within such a structure.”.
Amend the title of the bill by deleting the sixteenth and
seventeenth lines and inserting: “financial obligations; extending the
prohibition against the driver of a motor vehicle allowing a person to ride
upon or within certain portions of the motor vehicle under certain
circumstances;”.
Dennis Nolan |
Vonne Chowning |
Maggie Carlton |
John C. Carpenter |
Terry Care |
Jerry D. Claborn |
Senate Conference Committee |
Assembly Conference Committee |
Senator Nolan moved that the Senate adopt the report of the first Conference Committee concerning Assembly Bill No. 444.
Remarks by Senator Nolan.
Motion carried by a constitutional majority.
REPORTS
OF COMMITTEES
Madam
President:
Your
Committee on Finance, to which was referred Senate Bill No. 504, has had the
same under consideration, and begs leave to report the same back with the
recommendation: Do pass.
William J. Raggio, Chairman
SECOND READING AND AMENDMENT
Assembly Bill No. 533.
Bill read second time.
The following amendment was proposed by the Committee on Taxation:
Amendment No. 963.
Amend sec. 19, page 19, by deleting lines 11 through 24 and inserting:
“(b) To cause such list and valuations to be published once on or before January 1 of the fiscal year in which assessment is made in a newspaper of general circulation in the county.
In addition to complying with paragraph (a)
or (b), the list and valuations may also be posted in a public area of the
public libraries and branch libraries located in the county, in a public area
of the county courthouse and the county office building in which the county
assessor’s office is located, and on a website or other Internet site that is
operated or administered by or on behalf of the county or county assessor.”.
Senator McGinness moved the adoption of the amendment.
Remarks by Senator McGinness.
Conflict of interest declared by Senator Raggio.
Amendment adopted.
Bill ordered reprinted, re-engrossed and to third reading.
GENERAL FILE AND THIRD READING
Senate Bill No. 184.
Bill read third time.
The following amendment was proposed by the Committee on Finance:
Amendment No. 980.
Amend section 1, page 2, line 11, after “state.” by inserting: “As used in this paragraph, “police officer” means a sheriff, deputy sheriff, officer of a metropolitan police department or city policeman.”.
Amend sec. 2, page 4, between lines 19 and 20, by inserting:
“(c) “Police officer” means a sheriff, deputy sheriff, officer of a metropolitan police department or city policeman.”.
Amend sec. 3, page 5, by deleting lines 16 and 17 and inserting:
“(b) “Police officer” means a sheriff, deputy sheriff, officer of a metropolitan police department or city policeman.”.
Amend the title of the bill by deleting the fourth through sixth lines and inserting: “as a precaution to certain local police officers; creating a statutory presumption that hepatitis is an occupational disease for certain local police officers; and providing”.
Amend the summary of the bill to read as follows:
“SUMMARY—Revises certain provisions governing occupational diseases contracted by certain local police officers. (BDR 53‑851)”.
Senator Mathews moved the adoption of the amendment.
Remarks by Senators Mathews and Carlton.
Senator Carlton disclosed that her husband is a peace officer.
Amendment adopted.
Bill ordered reprinted, re-engrossed and to third reading.
MOTIONS, RESOLUTIONS AND NOTICES
Senator O'Connell moved that Senate Bill No. 504 be taken from the General File and placed on the General File for the next legislative day.
Remarks by Senator O'Connell.
Motion carried.
UNFINISHED
BUSINESS
Reports
of Conference Committees
Madam
President:
The
first Conference Committee concerning Senate Bill No. 451, consisting of the
undersigned members, has met and reports that:
It
has agreed to recommend that the amendment of the Assembly be concurred in.
Sandra Tiffany |
Peggy Pierce |
Ann O'Connell |
|
|
Valerie Weber |
Senate Conference Committee |
Assembly Conference
Committee |
Senator Tiffany moved that the Senate adopt the report of the first Conference Committee concerning Senate Bill No. 451.
Remarks by Senator Tiffany.
Motion carried by a two-thirds majority.
Madam
President:
The
first Conference Committee concerning Assembly Bill No. 55, consisting of the
undersigned members, has met and reports that:
It
has agreed to recommend that the amendment of the Senate be concurred in.
It
has agreed to recommend that the bill be further amended as set forth in
Conference Amendment No. 12, which is attached to and hereby made a part of
this report.
Conference
Amendment.
Amend the bill as a whole by
deleting sections 1 through 3 and adding new sections designated sections 1
through 73 and the text of the repealed section, following the enacting clause,
to read as follows:
“Section 1. NRS 176.0913
is hereby amended to read as follows:
176.0913 1. If
a defendant is convicted of an offense listed in subsection 4, the court, at
sentencing, shall order that:
(a) The
name, social security number, date of birth and any other information
identifying the defendant be submitted to the Central Repository for Nevada
Records of Criminal History; and
(b) A
biological specimen be obtained from the defendant pursuant to the provisions
of this section and that the specimen be used for an analysis to determine the
genetic markers of the specimen.
2. If the defendant is committed to the custody
of the Department of Corrections, the Department of Corrections shall arrange
for the biological specimen to be obtained from the defendant. The Department
of Corrections shall provide the specimen to the forensic laboratory that has
been designated by the county in which the defendant was convicted to conduct
or oversee genetic marker testing for the county pursuant to NRS 176.0917.
3. If the defendant is not committed to the
custody of the Department of Corrections, the Division shall arrange for the
biological specimen to be obtained from the defendant. The Division shall
provide the specimen to the forensic laboratory that has been designated by the
county in which the defendant was convicted to conduct or oversee genetic
marker testing for the county pursuant to NRS 176.0917. Any cost that is
incurred to obtain a biological specimen from a defendant pursuant to this
subsection is a charge against the county in which the defendant was convicted
and must be paid as provided in NRS 176.0915.
4. [The] Except as otherwise provided in subsection 5, the provisions of
subsection 1 apply to a defendant who is convicted of:
(a) A
category A felony;
(b) A category
B felony;
(c) A
category C felony involving the use or threatened use of force or violence
against the victim;
(d) A crime
against a child as defined in NRS 179D.210;
(e) A
sexual offense as defined in NRS 179D.410;
(f) Abuse
or neglect of an older person pursuant to NRS 200.5099;
(g) A
second or subsequent offense for stalking pursuant to NRS 200.575; [or]
(h) An
attempt or conspiracy to commit an offense listed in [this subsection.] paragraphs (a) to (g), inclusive;
(i) Failing to register with a local law
enforcement agency as a convicted person as required pursuant to NRS 179C.100,
if the defendant previously was:
(1) Convicted in this state of committing an
offense listed in paragraph (a), (b), (c), (f), (g) or (h); or
(2) Convicted in another jurisdiction of
committing an offense that would constitute an offense listed in paragraph (a),
(b), (c), (f), (g) or (h) if committed in this state;
(j) Failing to register with a local law
enforcement agency after being convicted of a crime against a child as required
pursuant to NRS 179D.240; or
(k) Failing to register with a local law
enforcement agency after being convicted of a sexual offense as required
pursuant to NRS 179D.450.
5. A
court shall not order a biological specimen to be obtained from a defendant who
has previously submitted such a specimen for conviction of a prior offense
unless the court determines that an additional sample is necessary.
Sec. 2. NRS 176A.850 is hereby amended to read as follows:
176A.850 1. A
person who:
(a) Has
fulfilled the conditions of his probation for the entire period thereof;
(b) Is
recommended for earlier discharge by the Division; or
(c) Has
demonstrated his fitness for honorable discharge but because of economic
hardship, verified by a parole and probation officer, has been unable to make
restitution as ordered by the court,
may be granted an honorable discharge from probation
by order of the court.
2. Any amount of restitution remaining unpaid
constitutes a civil liability arising upon the date of discharge.
3. [A] Except as otherwise provided in subsection 4, a person who has been honorably discharged from
probation:
(a) Is free
from the terms and conditions of his probation . [;
(b) If
he meets the requirements of NRS 176A.860, may apply to the Division to request
a restoration of his civil rights; and
(c)] (b) Is immediately restored to the
following civil rights:
(1) The right to vote; and
(2) The right to serve as a juror in a civil
action.
(c) Four years after the date of his
honorable discharge from probation, is restored to the right to hold office.
(d) Six years after the date of his
honorable discharge from probation, is restored to the right to serve as a
juror in a criminal action.
(e) If he meets the requirements of NRS
179.245, may apply to the court for the sealing of records relating to his
conviction.
[The person must]
(f) Must be informed of the provisions
of this section and NRS [176A.860 and] 179.245 in his probation papers.
[4. A person honorably discharged from probation
who has had his civil rights restored by the court:
(a)] (g) Is exempt from the requirements of
chapter 179C of NRS, but is not exempt from the requirements of chapter 179D of
NRS.
[(b) May
vote, hold office or serve as a juror.
(c)] (h) Shall disclose the conviction to a
gaming establishment and to the State and its agencies, departments, boards,
commissions and political subdivisions, if required in an application for
employment, license or other permit. As used in this paragraph, “establishment”
has the meaning ascribed to it in NRS 463.0148.
[(d)] (i) Except as otherwise provided in
paragraph [(c),] (h), need not
disclose the conviction to an employer or prospective employer.
[5.] 4. Except
as otherwise provided in this subsection, the civil rights set forth in
subsection 3 are not restored to a person honorably discharged from probation
if the person has previously been convicted in this state:
(a) Of a category A felony.
(b) Of an offense that would constitute a
category A felony if committed as of the date of his honorable discharge from
probation.
(c) Of a category B felony involving the use
of force or violence that resulted in substantial bodily harm to the victim.
(d) Of an offense involving the use of force
or violence that resulted in substantial bodily harm to the victim and that
would constitute a category B felony if committed as of the date of his
honorable discharge from probation.
(e) Two or more times of a felony, unless a
felony for which the person has been convicted arose out of the same act,
transaction or occurrence as another felony, in which case the convictions for
those felonies shall be deemed to constitute a single conviction for the
purposes of this paragraph.
A person
described in this subsection may petition the court in which the person was
convicted for an order granting the restoration of his civil rights as set
forth in subsection 3.
5. The prior conviction of a person [whose civil rights have been
restored or] who has been honorably discharged from probation may be used
for purposes of impeachment. In any subsequent prosecution of the person , [who has had his civil rights
restored or who has been honorably discharged from probation,] the prior
conviction may be pleaded and proved if otherwise admissible.
6. Except
for a person subject to the limitations set forth in subsection 4, upon his
honorable discharge from probation, the person so discharged must be given an
official document which provides:
(a) That he has received an honorable
discharge from probation;
(b) That he has been restored to his civil
rights to vote and to serve as a juror in a civil action as of the date of his
honorable discharge from probation;
(c) The date on which his civil right to
hold office will be restored to him pursuant to paragraph (c) of subsection 3;
and
(d) The date on which his civil right to
serve as a juror in a criminal action will be restored to him pursuant to
paragraph (d) of subsection 3.
7. Subject
to the limitations set forth in subsection 4, a person who has been honorably
discharged from probation in this state or elsewhere and whose official
documentation of his honorable discharge from probation is lost, damaged or
destroyed may file a written request with a court of competent jurisdiction to
restore his civil rights pursuant to this section. Upon verification that the
person has been honorably discharged from probation and is eligible to be
restored to the civil rights set forth in subsection 3, the court shall issue
an order restoring the person to the civil rights set forth in subsection 3. A
person must not be required to pay a fee to receive such an order.
8. A
person who has been honorably discharged from probation in this state or
elsewhere may present:
(a) Official documentation of his honorable
discharge from probation, if it contains the provisions set forth in subsection
6; or
(b) A court order restoring his civil
rights,
as proof that
he has been restored to the civil rights set forth in subsection 3.
Sec. 3. NRS 179.285 is hereby amended to read as
follows:
179.285 Except as otherwise provided in NRS 179.301 [,
if] :
1. If
the court orders a record sealed pursuant to NRS 176A.265, 179.245,
179.255, 179.259 or 453.3365:
[1.]
(a) All proceedings recounted in the
record are deemed never to have occurred, and the person to whom the order
pertains may properly answer accordingly to any inquiry , including, without limitation, an inquiry relating to an application
for employment, concerning the arrest, conviction, dismissal or acquittal
and the events and proceedings relating to the arrest, conviction, dismissal or
acquittal.
[2. The court shall order the civil rights of the
person to whom the order pertains to be restored if the person has not been
restored to his civil rights.]
(b) The person is immediately restored to
the following civil rights if his civil rights previously have not been restored:
(1) The right to vote;
(2) The right to hold office; and
(3) The right to serve on a jury.
2. Upon
the sealing of his records, a person who is restored to his civil rights must
be given an official document which demonstrates that he has been restored to
the civil rights set forth in paragraph (b) of subsection 1.
3. A
person who has had his records sealed in this state or any other state and
whose official documentation of the restoration of his civil rights is lost,
damaged or destroyed may file a written request with a court of competent
jurisdiction to restore his civil rights pursuant to this section. Upon
verification that the person has had his records sealed, the court shall issue
an order restoring the person to the civil rights to vote, to hold office and
to serve on a jury. A person must not be required to pay a fee to receive such
an order.
4. A person who has had his records sealed in
this state or any other state may present official documentation that he has
been restored to his civil rights or a court order restoring his civil rights
as proof that he has been restored to the right to vote, to hold office and to
serve as a juror.
Sec. 4. NRS 179.301 is
hereby amended to read as follows:
179.301 1. The
State Gaming Control Board and the
Nevada Gaming Commission and their employees, agents and representatives may
inquire into and inspect any records sealed pursuant to NRS 179.245 or 179.255,
if the event or conviction was related to gaming, for purposes of determining
the suitability or qualifications of any person to hold a state gaming license,
manufacturer’s, seller’s or distributor’s license or gaming work permit
pursuant to chapter 463 of NRS. Events and convictions, if any, which are the
subject of an order sealing records [may] :
(a) May form the basis for
recommendation, denial or revocation of those licenses . [or work permits.]
(b) Must not form the basis for denial or
rejection of a gaming work permit unless the event or conviction relates to the
applicant’s suitability or qualifications to hold the work permit.
2. The Central Repository
for Nevada Records of Criminal History and
its employees may inquire into and inspect any records sealed pursuant to NRS
179.245 or 179.255 that constitute information relating to sexual offenses, and
may notify employers of the information in accordance with NRS 179A.180 to
179A.240, inclusive.
3. Records which have been sealed pursuant to
NRS 179.245 or 179.255 and which are retained in the statewide registry
established pursuant to NRS 179B.200 may be inspected pursuant to chapter 179B
of NRS by an officer or employee of the Central Repository or a law enforcement
officer in the regular course of his duties.
Sec. 5. NRS 179C.010 is
hereby amended to read as follows:
179C.010 1. Except
as otherwise provided in subsection 2, as used in this chapter, unless the
context otherwise requires, “convicted person” means:
(a) A
person convicted in the State of Nevada [of an offense that is punishable as
a felony] or convicted in any place other than the State of Nevada of [a
felony;
(b) A
person convicted in the State of Nevada, or elsewhere, of the violation of a
law, regardless of whether the violation is punishable as a felony:
(1) Relating
to or regulating the possession, distribution, furnishing or use of a
habit-forming drug of the kind or character described and referred to in the
Uniform Controlled Substances Act;
(2) Regulating
or prohibiting the carrying, possession or ownership of a concealed weapon,
deadly weapon or weapon capable of being concealed, or regulating or
prohibiting the possession, sale or use of a device, instrument or attachment
designed or intended to be used to silence the report or conceal the discharge
or flash of any firearm; or
(3) Regulating
or prohibiting the use, possession, manufacture or compounding of tear gas, or
any other gas, that may be used to disable temporarily or permanently a human
being; or (c) A
person convicted in the State of Nevada, or elsewhere, of an attempt or a
conspiracy to commit an offense described or referred to in this subsection.] two or more offenses punishable as
felonies.
(b) A person convicted in
the State of Nevada of an offense punishable as a category A felony.
(c) A person convicted in the State of
Nevada or convicted in any place other than the State of Nevada of a crime that
would constitute a category A felony if committed in this state on July 1,
2003.
2. For the purposes of this chapter, “convicted
person” does not include:
(a) A
person who has been convicted of a crime against a child, as defined in NRS
179D.210, or a sexual offense, as defined in NRS 179D.410; or
(b) Except as otherwise provided in this chapter, a person whose
conviction is or has been set aside in the manner provided by law.
Sec. 6. NRS 179C.100 is
hereby amended to read as follows:
179C.100 1. It
is unlawful for a convicted person to be or remain in the State of Nevada for a
period of more than 48 hours without, during such 48-hour period, registering
with the sheriff of a county or the chief of police of a city in the manner
prescribed in this section.
2. A convicted person who does not reside in the
State of Nevada but who has a temporary or permanent place of abode outside the
State of Nevada, and who comes into the State on five occasions or more
during any 30-day period, is subject to the provisions of this chapter.
3. A person who has registered as a convicted
person with the sheriff of a county or the chief of police of a city shall
register again as provided in this section if he subsequently commits another
offense described or referred to in this chapter.
4. A person required by this section to register
shall do so by filing with the sheriff or chief of police a statement in
writing, upon a form prescribed and furnished by the sheriff or chief of
police, which is signed by the person and which provides the following
information:
(a) His
true name and each alias that he has used or under which he may have been
known;
(b) A full
and complete description of his person;
(c) The kind,
character and nature of each crime of which he has been convicted;
(d) The
place in which he was convicted of each crime;
(e) The
name under which he was convicted in each instance and the date thereof;
(f) The
name, if any, and the location of each prison, reformatory, jail or other penal
institution in which he was confined or to which he was sentenced;
(g) The
location and address of his residence, stopping place, living quarters or place
of abode, and if more than one residence, stopping place or place of abode,
that fact must be stated and the location and address of each given;
(h) The
kind of residence, stopping place, or place of abode in which he resides,
including whether it is a private residence, hotel, apartment house or other
building or structure;
(i) The
length of time he has occupied each place of residence, stopping place or place
of abode, and the length of time he expects or intends to remain in the State
of Nevada; and
(j) Any
further information that may be required by the sheriff or chief of police for
the purpose of aiding and assisting in carrying into effect the provisions and
intent of this chapter.
5. The
sheriff of a county or the chief of police of a city shall not require a
convicted person to carry a registration card, and no convicted person who is
required to register pursuant to this section may be punished for the failure
to carry a registration card.
6. When
so ordered in the individual case by the district court in which the conviction
was obtained, by the State Board of Parole Commissioners or by the State Board
of Pardons Commissioners, whichever is appropriate, the provisions of this
section do not apply to a convicted person who has had his civil rights
restored.
Sec. 7. NRS 6.010 is hereby amended to read as
follows:
6.010 [Every] Except as otherwise provided in this
section, every qualified elector of the State, whether registered or not,
who has sufficient knowledge of the English language, and who has not been convicted of treason , a felony, or other infamous crime, and
who is not rendered incapable by
reason of physical or mental infirmity, is a qualified juror of the county in
which he resides. A person who has been
convicted of a felony is not a qualified juror of the county in which he
resides until his civil right to serve as a juror has been restored pursuant to
NRS 176A.850, 179.285, 213.090, 213.155 or 213.157.
Sec. 8. NRS 119A.230 is
hereby amended to read as follows:
119A.230 1. The
Administrator may impose a fine or suspend, revoke, reissue, subject to
conditions, or deny the renewal of any sales agent’s license issued under the
provisions of this chapter at any time if the sales agent has, by false or
fraudulent application or representation, obtained a license or, whether or not
acting as a sales agent, is found guilty of:
(a) Making
any material misrepresentation;
(b) Making
any false promises of a character likely to influence, persuade or induce;
(c) Engaging
in any fraudulent, misleading or oppressive sales techniques or tactics;
(d) Accepting
a commission or valuable consideration as a sales agent for the performance of
any of the acts specified in this chapter from any person except a licensed
project broker with whom the sales agent is associated or the developer by whom
he is employed;
(e) Failing,
within a reasonable time, to account for or remit or turn over to the project
broker any money which comes into his possession and which belongs to others;
(f) Violating
any of the provisions of this chapter or chapter 119B of NRS or of any
regulation adopted pursuant to either chapter, or willfully aiding or abetting
another to do so; or
(g) A
felony relating to the practice of a
sales agent or other crime of moral turpitude or has entered a plea of nolo
contendere to a felony relating to the
practice of a sales agent or other crime of moral turpitude.
2. The Administrator may investigate the actions
of any sales agent or any person who acts in such a capacity within the State
of Nevada.
Sec. 9. NRS 138.020 is
hereby amended to read as follows:
138.020 1. No
person is qualified to serve as an executor who, at the time the will is
probated:
(a) Is
under the age of majority;
(b) Has
been convicted of a felony [;] relating to the position of an executor;
(c) Upon
proof, is adjudged by the court disqualified to execute the duties of executor
by reason of drunkenness, improvidence or lack of integrity or understanding;
or
(d) Is a
bank not authorized to do business in the State of Nevada, unless it associates
as coexecutor a bank authorized to do business in this state. An out-of-state
bank is qualified to appoint a substitute executor, pursuant to NRS 138.045,
without forming such an association, but any natural person so appointed must
be a resident of this state.
2. If a disqualified person is named as the sole
executor in a will, or if all persons so named are disqualified or renounce
their right to act, or fail to appear and qualify, letters of administration
with the will annexed must issue.
Sec. 10. NRS 139.010 is
hereby amended to read as follows:
139.010 No person is entitled to letters of
administration who:
1. Is under the age of majority;
2. Has been convicted of a felony [;] relating to the position of an administrator;
3. Upon proof, is adjudged by the court
disqualified by reason of conflict of interest, drunkenness, improvidence, or
lack of integrity or understanding; or
4. Is not a resident of the State of Nevada and
who does not associate as coadministrator a resident of the State of Nevada or
which, in the case of a banking corporation, is not authorized to do business
in this state and does not associate as coadministrator a resident of the State
of Nevada or a banking corporation authorized to do business in this state.
Sec. 11. NRS 159.059 is
hereby amended to read as follows:
159.059 Any qualified person or entity that the court
finds suitable may serve as a guardian. A person is not qualified to serve as a
guardian who:
1. Is an incompetent.
2. Is a minor.
3. Has been convicted of a felony [.] relating to the position of a guardian.
4. Has been suspended for misconduct or
disbarred from the practice of law during the period of the suspension or
disbarment.
5. Is a nonresident of this state and has not:
(a) Associated
as a coguardian, a resident of this state or a banking corporation whose
principal place of business is in this state; and
(b) Caused
the appointment to be filed in the guardianship proceeding.
6. Has been judicially determined, by clear and
convincing evidence, to have committed abuse, neglect or exploitation of a
child, spouse, parent or other adult.
Sec. 12. NRS 202.760 is
hereby amended to read as follows:
202.760 It is unlawful for any person:
1. Who is under indictment for, or has been
convicted in any court of, a crime relating
to the practice of shipping or transporting explosives that is punishable
by imprisonment for a term exceeding 1 year;
2. Who is a fugitive from justice;
3. Who is an unlawful user of or addicted to any
depressant or stimulant drug or any controlled substance; or
4. Who has been judicially declared mentally ill
or who has been committed to a hospital as mentally ill,
to ship or transport any explosive within the State
or to receive any explosive which has been shipped or transported within the
State.
Sec. 13. NRS 213.090 is
hereby amended to read as follows:
213.090 1. [When
a pardon] Except as otherwise
provided in subsection 2, a person who is granted a pardon for any offense committed [, the pardon may or may not
include restoration of civil rights. If the pardon includes restoration of
civil rights, it must be so stated in the instrument or certificate of pardon
and, when granted upon conditions, limitations or restrictions, they must be
fully set forth in the instrument.
2. In any case where a convicted person has
received a pardon without immediate restoration of his civil rights, he may
apply to the State Board of Pardons Commissioners for restoration of his civil
rights and release from penalties and disabilities resulting from the offense
or crime of which he was convicted.
3. Upon receiving an application pursuant to
subsection 2, the Board shall determine whether the applicant has received a
pardon. If the Board determines that the applicant has received a pardon, the
Board shall, as soon as reasonably practicable, restore him to his civil rights
and release him from all penalties and disabilities resulting from the offense
or crime of which he was convicted.
4. An applicant] :
(a) Is immediately restored to the following
civil rights:
(1) The right to vote; and
(2) The right to serve as a juror in a civil
action.
(b) Four years after the date that his
pardon is granted, is restored to the right to hold office.
(c) Six years after the date that his pardon
is granted, is restored to the right to serve as a juror in a criminal action.
2. Except
as otherwise provided in this subsection, the civil rights set forth in
subsection 1 are not restored to a person who has been granted a pardon if the
person has previously been convicted in this state:
(a) Of a category A felony.
(b) Of an offense that would constitute a
category A felony if committed as of the date that his pardon is granted.
(c) Of a category B felony involving the use
of force or violence that resulted in substantial bodily harm to the victim.
(d) Of an offense involving the use of force
or violence that resulted in substantial bodily harm to the victim and that
would constitute a category B felony if committed as of the date that his
pardon is granted.
(e) Two or more times of a felony, unless a
felony for which the person has been convicted arose out of the same act,
transaction or occurrence as another felony, in which case the convictions for
those felonies shall be deemed to constitute a single conviction for the
purposes of this paragraph.
A person
described in this subsection may petition the court in which the person was
convicted for an order granting the restoration of his civil rights as set
forth in subsection 1.
3. Except
for a person subject to the limitations set forth in subsection 2, upon
receiving a pardon, a person so pardoned must be given an official document
which provides:
(a) That he has been granted a pardon;
(b) That he has been restored to his civil
rights to vote and to serve as a juror in a civil action as of the date that
his pardon is granted;
(c) The date on which his civil right to
hold office will be restored to him pursuant to paragraph (b) of subsection 1;
and
(d) The date on which his civil right to
serve as a juror in a criminal action will be restored to him pursuant to
paragraph (c) of subsection 1.
4. Subject
to the limitations set forth in subsection 2, a person who has been granted a
pardon in this state or elsewhere and whose official documentation of his
pardon is lost, damaged or destroyed may file a written request with a court of
competent jurisdiction to restore his civil rights pursuant to this section.
Upon verification that the person has been granted a pardon and is eligible to
be restored to the civil rights set forth in subsection 1, the court shall
issue an order restoring the person to the civil rights set forth in subsection
1. A person must not be required to pay a fee to [have his civil rights
restored or to be released from penalties and disabilities pursuant to this
section.] receive such an order.
5. A
person who has been granted a pardon in this state or elsewhere may present:
(a) Official documentation of his pardon, if
it contains the provisions set forth in subsection 3; or
(b) A court order restoring his civil
rights,
as proof that
he has been restored to the civil rights set forth in subsection 1.
Sec. 14. NRS 213.155 is
hereby amended to read as follows:
213.155 1. [The
Board may restore a paroled prisoner to his civil rights, conditioned upon the
prisoner receiving] Except as
otherwise provided in subsection 2, a person who receives an honorable
discharge from parole pursuant to NRS 213.154 [. Such restoration must take
effect at the expiration of the parole of the prisoner.
2. In any case where a convicted person has
completed his parole without immediate restoration of his civil rights and has
been issued an honorable discharge from parole pursuant to NRS 213.154, he may
apply to the Division to request a restoration of his civil rights and release
from penalties and disabilities which resulted from the offense or crime of
which he was convicted.
3. Upon receiving an application pursuant to
subsection 2, the Division shall determine whether the applicant has received
an honorable discharge from parole. If the Division determines that the
applicant has received an honorable discharge, the Division shall forward the
application to the Board.
4. Upon receiving an application pursuant to
subsection 3, the Board shall, as soon as reasonably practicable, restore the
applicant to his civil rights and release him from all penalties and
disabilities resulting from the offense or crime of which he was convicted.
5. An applicant] :
(a) Is immediately restored to the following
civil rights:
(1) The right to vote; and
(2) The right to serve as a juror in a civil
action.
(b) Four years after the date of his
honorable discharge from parole, is restored to the right to hold office.
(c) Six years after the
date of his honorable discharge from parole, is restored to the right to serve
as a juror in a criminal action.
2. Except
as otherwise provided in this subsection, the civil rights set forth in
subsection 1 are not restored to a person who has received an honorable
discharge from parole if the person has previously been convicted in this
state:
(a) Of a category A felony.
(b) Of an offense that would constitute a
category A felony if committed as of the date of his honorable discharge from
parole.
(c) Of a category B felony involving the use
of force or violence that resulted in substantial bodily harm to the victim.
(d) Of an offense involving the use of force
or violence that resulted in substantial bodily harm to the victim and that
would constitute a category B felony if committed as of the date of his
honorable discharge from parole.
(e) Two or more times of a felony, unless a
felony for which the person has been convicted arose out of the same act,
transaction or occurrence as another felony, in which case the convictions for
those felonies shall be deemed to constitute a single conviction for the
purposes of this paragraph.
A person
described in this subsection may petition the court in which the person was
convicted for an order granting the restoration of his civil rights as set
forth in subsection 1.
3. Except
for a person subject to the limitations set forth in subsection 2, upon his
honorable discharge from parole, a person so discharged must be given an
official document which provides:
(a) That he has received an honorable
discharge from parole;
(b) That he has been restored to his civil
rights to vote and to serve as a juror in a civil action as of the date of his
honorable discharge from parole;
(c) The date on which his civil right to
hold office will be restored to him pursuant to paragraph (b) of subsection 1;
and
(d) The date on which his civil right to
serve as a juror in a criminal action will be restored to him pursuant to
paragraph (c) of subsection 1.
4. Subject
to the limitations set forth in subsection 2, a person who has been honorably
discharged from parole in this state or elsewhere and whose official
documentation of his honorable discharge from parole is lost, damaged or
destroyed may file a written request with a court of competent jurisdiction to
restore his civil rights pursuant to this section. Upon verification that the
person has been honorably discharged from parole and is eligible to be restored
to the civil rights set forth in subsection 1, the court shall issue an order
restoring the person to the civil rights set forth in subsection 1. A person must
not be required to pay a fee to [have his civil rights restored or to be
released from penalties and disabilities pursuant to this section.
6.] receive such an order.
5. A
person who has been honorably discharged from parole in this state or elsewhere
may present:
(a) Official documentation of his honorable
discharge from parole, if it contains the provisions set forth in subsection 3;
or
(b) A court order restoring his civil
rights,
as proof that
he has been restored to the civil rights set forth in subsection 1.
6. The Board may adopt regulations necessary or
convenient for the purposes of this section.
Sec. 15. NRS 213.157 is
hereby amended to read as follows:
213.157 1. [In
any case where a] Except as otherwise
provided in subsection 2, a person convicted of a felony in the State of
Nevada who has served his sentence
and has been released from prison [,
he may apply to the Division requesting restoration of his civil rights and
release from all penalties and disabilities which resulted from the offense or
crime of which he was convicted.
2. Upon receiving an application pursuant to
subsection 1, the Division shall determine whether the applicant has served his
sentence and been released from prison. If the division determines that the
applicant has served his sentence and been released from prison, the Division
shall forward the application to the district court in which the conviction was
obtained.
3. Upon receiving an application pursuant to
subsection 2, the court shall, as soon as reasonably practicable, restore the
civil rights of the applicant and release him from all penalties and
disabilities which resulted from the offense or crime of which he was
convicted.
4. An applicant] :
(a) Is immediately restored to the following
civil rights:
(1) The right to vote; and
(2) The right to serve as a juror in a civil
action.
(b) Four years after the date of his release
from prison, is restored to the right to hold office.
(c) Six years after the date of his release
from prison, is restored to the right to serve as a juror in a criminal action.
2. Except
as otherwise provided in this subsection, the civil rights set forth in
subsection 1 are not restored to a person who has been released from prison if
the person has previously been convicted in this state:
(a) Of a category A felony.
(b) Of an offense that would constitute a
category A felony if committed as of the date of his release from prison.
(c) Of a category B felony involving the use
of force or violence that resulted in substantial bodily harm to the victim.
(d) Of an offense involving the use of force
or violence that resulted in substantial bodily harm to the victim and that
would constitute a category B felony if committed as of the date of his release
from prison.
(e) Two or more times of a felony, unless a
felony for which the person has been convicted arose out of the same act,
transaction or occurrence as another felony, in which case the convictions for
those felonies shall be deemed to constitute a single conviction for the
purposes of this paragraph.
A person described
in this subsection may petition the court in which the person was convicted for
an order granting the restoration of his civil rights as set forth in
subsection 1.
3. Except
for a person subject to the limitations set forth in subsection 2, upon his
release from prison, a person so released must be given an official document
which provides:
(a) That he has been released from prison;
(b) That he has been restored to his civil
rights to vote and to serve as a juror in a civil action as of the date of his
release from prison;
(c) The date on which his civil right to
hold office will be restored to him pursuant to paragraph (b) of subsection 1;
and
(d) The date on which his civil right to
serve as a juror in a criminal action will be restored to him pursuant to
paragraph (c) of subsection 1.
4. Subject
to the limitations set forth in subsection 2, a person who has been released
from prison in this state or elsewhere and whose official documentation of his
release from prison is lost, damaged or destroyed may file a written request
with a court of competent jurisdiction to restore his civil rights pursuant to
this section. Upon verification that the person has been released from prison
and is eligible to be restored to the civil rights set forth in subsection 1,
the court shall issue an order restoring the person to the civil rights set
forth in subsection 1. A person must not be required to pay a fee to [have
his civil rights restored or to be released from penalties and disabilities
pursuant to this section.] receive
such an order.
5. A
person who has been released from prison in this state or elsewhere may
present:
(a) Official documentation of his release
from prison, if it contains the provisions set forth in subsection 3; or
(b) A court order restoring his civil
rights, as proof that he has been restored to the civil rights set forth in
subsection 1.
Sec. 16. NRS 248.010 is hereby amended to read as
follows:
248.010 1. Sheriffs
[shall] must be elected by the
qualified electors of their respective counties.
2. Sheriffs [shall] must be chosen by the electors of their respective counties at the
general election in 1922, and at the general election every 4 years thereafter,
and shall enter upon the duties of their respective offices on the [1st]
first Monday of January subsequent to
their election.
3. A
person who has been convicted of a felony in this state or any other state is
not qualified to be a candidate for or elected or appointed to the office of
sheriff regardless of whether he has been restored to his civil rights.
Sec. 17. NRS 258.010 is hereby amended to read as follows:
258.010 1. Except
as otherwise provided in subsections 2 and 3:
(a) Constables
must be elected by the qualified electors of their respective townships.
(b) The
constables of the several townships of the State must be chosen at the general
election of 1966, and shall enter upon the duties of their offices on the first
Monday of January next succeeding their election, and hold their offices for
the term of 4 years thereafter, until their successors are elected and
qualified.
(c) Constables
must receive certificates of election from the boards of county commissioners
of their respective counties.
2. In a county which includes only one township,
the board of county commissioners may, by resolution, appoint the sheriff ex
officio constable to serve without additional compensation. The resolution must
not become effective until the completion of the term of office for which a
constable may have been elected.
3. In a county whose population:
(a) Is less
than 400,000, if the board of county commissioners determines that the office
of constable is not necessary in one or more townships within the county, it
may, by ordinance, abolish the office of constable in those townships.
(b) Is
400,000 or more, if the board of county commissioners determines that the
office of constable is not necessary in one or more townships within the county,
it may, by ordinance, abolish the office in those townships, but the abolition
does not become effective as to a particular township until the constable
incumbent on May 28, 1979, does not seek, or is defeated for, reelection.
For a township in which the office of constable has
been abolished, the board of county commissioners may, by resolution, appoint
the sheriff ex officio constable to serve without additional compensation.
4. A
person who has been convicted of a felony in this state or any other state is
not qualified to be a candidate for or elected or appointed to the office of
constable regardless of whether he has been restored to his civil rights.
Sec. 18. Chapter 289 of NRS is hereby amended by adding thereto a
new section to read as follows:
A person who has been convicted of a felony
in this state or any other state is not qualified to serve as a category I
peace officer, category II peace officer or category III peace officer
regardless of whether he has been restored to his civil rights.
Sec. 19. NRS 289.450 is hereby amended to read as follows:
289.450 As used in NRS
289.450 to 289.600, inclusive, and
section 18 of this act, unless the context otherwise requires, the words
and terms defined in NRS 289.460 to 289.490, inclusive, have the meanings
ascribed to them in those sections.
Sec. 20. NRS 386.549 is
hereby amended to read as follows:
386.549 1. The
governing body of a charter school must consist of at least three teachers, as
defined in subsection 4, and may consist of, without limitation, parents and
representatives of nonprofit organizations and businesses. A majority of the
members of the governing body must reside in this state. If the membership of
the governing body changes, the governing body shall provide written notice to the
sponsor of the charter school within 10 working days after such change. A
person may serve on the governing body only if he submits an affidavit to the
Department indicating that the person has not been convicted of a felony relating to serving on the governing body of
a charter school or any offense involving moral turpitude.
2. The governing body of a charter school is a
public body. It is hereby given such reasonable and necessary powers, not
conflicting with the Constitution and the laws of the State of Nevada, as may
be requisite to attain the ends for which the charter school is established and
to promote the welfare of pupils who are enrolled in the charter school.
3. The governing body of a charter school shall,
during each calendar quarter, hold at least one regularly scheduled public
meeting in the county in which the charter school is located.
4. As used in subsection 1, “teacher” means a
person who:
(a) Holds a
current license to teach issued pursuant to chapter 391 of NRS; and
(b) Has at
least 2 years of experience as an employed teacher.
The term does not include a person who is employed
as a substitute teacher.
Sec. 21. NRS 398.460 is hereby amended to read as
follows:
398.460 1. Except as otherwise provided in subsection 2,
the Secretary of State shall issue a certificate of registration to a natural
person who complies with NRS 398.452 or whose application has been accepted
under NRS 398.456.
2. The Secretary of State may refuse to issue a
certificate of registration if he determines that the applicant has engaged in
conduct that has a significant adverse effect on his fitness to act as an
athlete’s agent. In making this determination, the Secretary of State may
consider whether the applicant has:
(a) Been
convicted of a crime that, if committed in this state, would be a crime
involving moral turpitude or a felony [;] relating to his fitness to act as an
athlete’s agent;
(b) Made a
materially false, misleading, deceptive or fraudulent representation in his
application or as an athlete’s agent;
(c) Engaged
in conduct that would disqualify him from serving in a fiduciary capacity;
(d) Engaged
in conduct prohibited by NRS 398.496;
(e) Had
registration or licensure as an athlete’s agent suspended, revoked or denied,
or been refused renewal of registration or licensure as an athlete’s agent, in
any state;
(f) Engaged
in conduct whose consequence was that a sanction, suspension or declaration of
ineligibility to participate in an interscholastic or intercollegiate athletic
event was imposed on a student athlete or an institution; or
(g) Engaged
in conduct that significantly adversely reflects on his credibility, honesty or
integrity.
3. In making a determination pursuant to
subsection 2, the Secretary of State shall consider:
(a) How
recently the conduct occurred;
(b) The
nature of the conduct and the context in which it occurred; and
(c) Any
other relevant conduct of the applicant.
Sec. 22. NRS 463.335 is
hereby amended to read as follows:
463.335 1. The
Legislature finds that, to protect and promote the health, safety, morals, good
order and general welfare of the inhabitants of the State of Nevada and to
carry out the policy declared in NRS 463.0129, it is necessary that the Board:
(a) Ascertain
and keep itself informed of the identity, prior activities and present location
of all gaming employees and independent agents in the State of Nevada; and
(b) Maintain
confidential records of such information.
2. Except as otherwise provided in subsection 3,
a person may not be employed as a gaming employee or serve as an independent
agent unless he is the holder of a valid work permit to work as a gaming
employee issued pursuant to this section. A work permit to work as a gaming
employee may be issued by the Board or by a county or city licensing authority.
An applicant for a work permit shall file his application for a work permit
with the licensing authority of the city in which he resides if that city
requires a work permit. If the city in which he resides does not require such a
permit, the applicant shall file his application with the licensing authority
of the county in which he resides if that county requires a work permit. If the
county in which he resides does not require such a permit, the applicant shall
file his application with the Board. The Board shall, by regulation, prescribe
the form for an application for a work permit to work as a gaming employee. The
fee for such a permit may be charged only to cover the actual investigative and
administrative costs related to processing an application for such a permit and
must not exceed $75.
3. An independent agent is not required to hold
a work permit if he is not a resident of this state and has registered with the
Board in accordance with the provisions of the regulations adopted by the
Commission.
4. Upon receipt of an application for a work
permit to work as a gaming employee, the Board or licensing authority shall
conduct an investigation of the applicant to determine whether he is eligible
for the permit. In conducting the investigation, the Board or licensing
authority shall forward a complete set of the applicant’s fingerprints to the
Central Repository for Nevada Records of Criminal History for submission to the
Federal Bureau of Investigation for a report concerning the criminal history of
the applicant. The investigation need not be limited solely to consideration of
the results of the report concerning the criminal history of the applicant.
5. A work permit issued to a gaming employee or
an independent agent must have clearly imprinted thereon a statement that it is
valid for gaming purposes only.
6. Unless denied or objected to by the Board at
the time that the permittee filed a notice of a change in his place of
employment pursuant to subsection 8 and unless suspended or revoked, such a
permit expires on the fifth anniversary of the permittee’s birthday, measured
from the birthday nearest the date of issuance or renewal. If the date of birth
of a permittee is on February 29 in a leap year, for the purposes of this
section, his date of birth shall be deemed to be on February 28.
7. Whenever any person applies to a county or
city licensing authority for the issuance or renewal of a work permit, the
county or city officer or employee to whom the application is made shall within
24 hours mail or deliver a copy thereof to the Board, and may at the discretion
of the county or city licensing authority issue a temporary work permit that is
valid for 120 days. If within 120 days after receipt by the Board of the copy
of the application, the Board has not notified the county or city licensing
authority of any objection, the authority may issue, renew or deny a permanent
work permit to the applicant.
8. A gaming employee who is issued a work permit
is eligible for employment in any licensed gaming establishment in this state
until the work permit is denied or objected to by the Board, expires or is
revoked. However, each such employee shall notify the Board within 10 days
following any change of his place of employment at a gaming establishment. Such
a notification shall be deemed an application for a work permit that the Board
may deny or object to after conducting any investigations the Board deems appropriate.
The provisions of subsections 9 to 16, inclusive, apply to any such objection
of the Board. The Commission shall adopt regulations to:
(a) Facilitate
uniform procedures for the issuance of work permits by counties and cities;
(b) Establish
uniform criteria for denial by a county or city licensing authority of an
application for a work permit; and
(c) Provide
for the creation and maintenance of a system of records that contain
information regarding the current place of employment of each person who
possesses a valid work permit.
9. If the Board, within the 120-day period,
notifies:
(a) The
county or city licensing authority; and
(b) The applicant,
that the Board objects to the granting of a work
permit to the applicant, the authority shall deny the work permit and shall
immediately revoke and repossess any temporary work permit which it may have
issued. The notice of objection by the Board which is sent to the applicant
must include a statement of the facts upon which the Board relied in making its
objection.
10. Whenever an application for a work permit is
made to the Board and the Board denies such an application, it shall include in
its notice of the denial a statement of the facts upon which it relied in
denying the application.
11. Any person whose application for a work
permit has been denied because of an objection by the Board or whose
application has been denied by the Board may, not later than 60 days after
receiving notice of the denial or objection, apply to the Board for a hearing.
A failure of a person whose application has been denied to apply for a hearing
within 60 days or his failure to appear at a hearing of the Board conducted
pursuant to this section shall be deemed to be an admission that the denial or
objection is well-founded, and the failure precludes administrative or judicial
review. At the hearing, the Board shall take any testimony deemed necessary.
After the hearing, the Board shall review the testimony taken and any other
evidence, and shall within 45 days after the date of the hearing mail to the
applicant its decision sustaining or reversing the denial of the work permit or
the objection to the issuance of a work permit.
12. The Board may object to the issuance of a
work permit or may refuse to issue a work permit for any cause deemed
reasonable by the Board. The Board may object or refuse if the applicant has:
(a) Failed
to disclose or misstated information or otherwise attempted to mislead the
Board with respect to any material fact contained in the application for the
issuance or renewal of a work permit;
(b) Knowingly
failed to comply with the provisions of this chapter or chapter 463B, 464
or 465 of NRS or the regulations of the Commission at a place of previous
employment;
(c) Committed,
attempted or conspired to commit any crime of moral turpitude, embezzlement or
larceny or any violation of any law pertaining to gaming, or any crime which is
inimical to the declared policy of this state concerning gaming;
(d) Committed,
attempted or conspired to commit a crime which is a felony or gross misdemeanor
in this state or an offense in another state or jurisdiction which would be a
felony or gross misdemeanor if committed in this state [;] and which relates to the applicant’s
suitability or qualifications to work as a gaming employee;
(e) Been
identified in the published reports of any federal or state legislative or
executive body as being a member or associate of organized crime, or as being
of notorious and unsavory reputation;
(f) Been
placed and remains in the constructive custody of any federal, state or
municipal law enforcement authority; or
(g) Had a work permit revoked or committed any act which is a
ground for the revocation of a work permit or would have been a ground for
revoking his work permit if he had then held a work permit.
If the Board issues or does not object to the
issuance of a work permit to an applicant, it may specially limit the period
for which the permit is valid, limit the job classifications for which the
holder of the permit may be employed and establish such individual conditions
for the issuance, renewal and effectiveness of the permit as the Board deems
appropriate, including required submission to unscheduled tests for the
presence of alcohol or controlled substances.
13. Any applicant aggrieved by the decision of
the Board may, within 15 days after the announcement of the decision, apply in
writing to the Commission for review of the decision. Review is limited to the
record of the proceedings before the Board. The Commission may sustain, modify
or reverse the Board’s decision. The decision of the Commission is subject to
judicial review pursuant to NRS 463.315 to 463.318, inclusive.
14. Except as otherwise provided in this
subsection, all records acquired or compiled by the Board or Commission
relating to any application made pursuant to this section and all lists of
persons to whom work permits have been issued or denied and all records of the
names or identity of persons engaged in the gaming industry in this state are
confidential and must not be disclosed except in the proper administration of
this chapter or to an authorized law enforcement agency. Upon receipt of a
request from the Welfare Division of the Department of Human Resources pursuant
to NRS 425.400 for information relating to a specific person who has applied
for or holds a work permit, the Board shall disclose to the Division his social
security number, residential address and current employer as that information
is listed in the files and records of the Board. Any record of the Board or
Commission which shows that the applicant has been convicted of a crime in
another state must show whether the crime was a misdemeanor, gross misdemeanor,
felony or other class of crime as classified by the state in which the crime
was committed. In a disclosure of the conviction, reference to the
classification of the crime must be based on the classification in the state
where it was committed.
15. The Chairman of the Board may designate a
member of the Board or the Board may appoint a hearing examiner and authorize
that person to perform on behalf of the Board any of the following functions
required of the Board by this section concerning work permits:
(a) Conducting
a hearing and taking testimony;
(b) Reviewing
the testimony and evidence presented at the hearing;
(c) Making
a recommendation to the Board based upon the testimony and evidence or
rendering a decision on behalf of the Board to sustain or reverse the denial of
a work permit or the objection to the issuance or renewal of a work permit; and
(d) Notifying
the applicant of the decision.
16. Notice by the Board as provided pursuant to
this section is sufficient if it is mailed to the applicant’s last known
address as indicated on the application for a work permit, or the record of the
hearing, as the case may be. The date of mailing may be proven by a certificate
signed by an officer or employee of the Board which specifies the time the
notice was mailed. The notice shall be deemed to have been received by the
applicant 5 days after it is deposited with the United States Postal Service
with the postage thereon prepaid.
Sec. 23. NRS 489.421 is
hereby amended to read as follows:
489.421 The following grounds, among others,
constitute grounds for disciplinary action under NRS 489.381:
1. Revocation or denial of a license issued
pursuant to this chapter or an equivalent license in any other state, territory
or country.
2. Failure of the licensee to maintain any other
license required by any political subdivision of this state.
3. Failure to respond to a notice served by the
Division as provided by law within the time specified in the notice.
4. Failure to take the corrective action
required in a notice of violation issued pursuant to NRS 489.291.
5. Failure or refusing to permit access by the
Administrator to documentary materials set forth in NRS 489.231.
6. Disregarding or violating any order of the
Administrator, any agreement with the Division, or any provision of this
chapter or any regulation adopted under it.
7. Conviction of a misdemeanor for violation of
any of the provisions of this chapter.
8. Conviction of or entering a plea of guilty,
guilty but mentally ill or nolo contendere to [a] :
(a) A felony relating to the position for which the applicant has applied or the
licensee has been licensed pursuant to this chapter; or [a]
(b) A crime of moral turpitude in this
state or any other state, territory or country.
9. Any other conduct that constitutes deceitful,
fraudulent or dishonest dealing.
Sec. 24. NRS 611.045 is
hereby amended to read as follows:
611.045 1. The Labor Commissioner may issue a license to
an applicant for the conduct of an employment agency:
(a) After
making an investigation of the applicant and finding that he is of good moral
character and has not been convicted of a felony relating to the conduct of an employment agency or any offense
involving moral turpitude;
(b) After
making an investigation of the premises where the proposed employment agency
will be conducted and finding that the premises are suitable for the purpose;
(c) Upon
determining that the applicant is a resident of this state; and
(d) Upon
the applicant’s payment of the licensing fee prescribed in NRS 611.060.
2. The Labor Commissioner shall complete his
investigation of the applicant within 60 days after such applicant has
submitted his application.
3. A license to conduct an employment agency is
valid only as to the person and place named in the license and is effective
from the date specified therein to and including the next following December
31, unless sooner suspended or revoked.
4. Annually at least 15 days prior to the
expiration date of the license, the licensee must apply for renewal in the
manner prescribed by regulation of the Labor Commissioner. Pending
administrative action on a renewal application, the license may be continued in
effect for a period not to exceed 60 days beyond the expiration date of the
license.
Sec. 25. NRS 623A.065 is hereby amended to read as
follows:
623A.065 For
the purposes of this chapter, a person has good moral character if he:
1. [Has not been convicted of a class A
felony;
2.] Has not been convicted of a felony , [other than a class A felony or a]
misdemeanor or gross misdemeanor that is directly related to the practice of
landscape architecture;
[3.] 2. Has not committed an act involving dishonesty, fraud,
misrepresentation, breach of a fiduciary duty, gross negligence or incompetence
while engaged in the practice of landscape architecture;
[4.] 3. Is not incarcerated in a jail or prison at the time of submitting
an application for a certificate of registration or a certificate to practice
as a landscape architect intern;
[5.] 4. Has not committed fraud or misrepresentation in connection with:
(a) The
submission of an application for a certificate of registration or certificate
to practice as a landscape architect intern; or
(b) The
taking of one or more examinations pursuant to the provisions of this chapter;
[6.] 5. Has not had his certificate of registration suspended or revoked
by the Board or in any other state or country;
[7.] 6. Has not, in lieu of receiving disciplinary action against him,
surrendered a certificate of registration or certificate to practice as a
landscape architect intern in this state or a certificate or license to
practice landscape architecture issued in another state or country;
[8.] 7. Has not engaged in the practice of landscape architecture in this
state or in any other state or country without a license or certificate of
registration or certificate to practice as a landscape architect intern within
the 2 years immediately preceding the filing of an application for a
certificate of registration or certificate to practice as a landscape architect
intern pursuant to the provisions of this chapter; or
[9.] 8. Has not, within the 5 years immediately preceding the filing of an
application specified in subsection [8,] 7, engaged in unprofessional conduct in violation of the
regulations adopted by the Board.
Sec. 26. NRS 623A.280 is
hereby amended to read as follows:
623A.280 1. The
following acts, among others, constitute cause for disciplinary action if proof
satisfactory to the Board is presented that:
(a) A
holder of a certificate of registration has signed or sealed instruments of
service which were not prepared by him or under his direct supervision.
(b) A
holder of a certificate of registration has permitted the use of his signature
or seal by another person to evade the provisions of this chapter or any
regulation adopted by the Board.
(c) A
holder of a certificate of registration has not signed, sealed or dated
instruments of service prepared by him.
(d) A
holder of a certificate of registration or certificate to practice as a
landscape architect intern impersonates a landscape architect or landscape
architect intern of the same or similar name.
(e) A
holder of a certificate of registration or certificate to practice as a
landscape architect intern practices under an assumed, fictitious or corporate
name.
(f) A
holder of a certificate of registration or certificate to practice as a
landscape architect intern practices landscape architecture in violation of the
provisions of this chapter or any regulation adopted by the Board.
(g) A
holder of a certificate of registration or certificate to practice as a
landscape architect intern has obtained his certificate of registration or
certificate to practice as a landscape architect intern by fraud or
misrepresentation.
(h) A
holder of a certificate of registration or certificate to practice as a
landscape architect intern is guilty of fraud or deceit in the practice of
landscape architecture.
(i) A
holder of a certificate of registration or certificate to practice as a
landscape architect intern is guilty of incompetency, negligence or gross
negligence.
(j) A
holder of a certificate of registration or certificate to practice as a
landscape architect intern is convicted of, or enters a plea of nolo contendere
to [:
(1) Any
felony; or
(2) Any]
any crime, an essential element of
which is dishonesty, or which is directly related to the practice of landscape
architecture.
(k) A
holder of a certificate of registration or certificate to practice as a
landscape architect intern is guilty of aiding or abetting any person in the
violation of the provisions of this chapter or any regulation adopted by the
Board.
(l) A
person practices as a landscape architect with a certificate of registration or
certificate to practice as a landscape architect intern that has expired or has
been suspended or revoked.
(m) A holder
of a certificate of registration or certificate to practice as a landscape
architect intern is disciplined by an agency of another state or foreign
country which regulates the practice of landscape architecture and at least one
of the grounds for the disciplinary action taken is a ground for disciplinary
action pursuant to the provisions of this chapter.
(n) A
holder of a certificate of registration or certificate to practice as a
landscape architect intern fails to comply with an order issued by the Board or
to cooperate in an investigation conducted by the Board.
2. As used in this section:
(a) “Gross
negligence” means conduct that demonstrates a reckless disregard of the
consequences affecting the life or property of another person.
(b) “Incompetency”
means conduct that, in the practice of landscape architecture, demonstrates a
significant lack of ability, knowledge or fitness to discharge a professional
obligation.
(c) “Negligence”
means a deviation from the normal standard of professional care exercised
generally by other members in the practice of landscape architecture.
Sec. 27. NRS 624.3016 is
hereby amended to read as follows:
624.3016 The following acts or omissions, among
others, constitute cause for disciplinary action under NRS 624.300:
1. Any fraudulent or deceitful act committed in
the capacity of a contractor.
2. A conviction of a violation of NRS 624.730 , [or] a felony relating to the practice of a contractor or
a crime involving moral turpitude.
3. Knowingly making a false statement in or
relating to the recording of a notice of lien pursuant to the provisions of NRS
108.226.
4. Failure to give a notice required by NRS
108.245 or 108.246.
5. Failure to comply with NRS 597.713, 597.716
or 597.719 or any regulations of the Board governing contracts for the
construction of residential pools and spas.
6. Failure to comply with NRS 624.600.
7. Misrepresentation or the omission of a
material fact, or the commission of any other fraudulent or deceitful act, to
obtain a license.
8. Failure to pay an assessment required
pursuant to NRS 624.470.
Sec. 28. NRS 625.410 is hereby amended to read
as follows:
625.410 The Board may take disciplinary action
against a licensee, an applicant for licensure, an intern or an applicant for
certification as an intern for:
1. The practice of any fraud or deceit in
obtaining or attempting to obtain or renew a license or cheating on any
examination required by this chapter.
2. Any gross negligence, incompetency or
misconduct in the practice of professional engineering as a professional
engineer or in the practice of land surveying as a professional land surveyor.
3. Aiding or abetting any person in the
violation of any provision of this chapter or regulation adopted by the Board.
4. Conviction of or entry of a plea of nolo
contendere to [:
(a) Any
felony; or
(b) Any]
any crime, an essential element of
which is dishonesty, or which is directly related to the practice of
engineering or land surveying.
5. A violation of any provision of this chapter
or regulation adopted by the Board.
6. Discipline by another state or territory, the
District of Columbia, a foreign country, the Federal Government or any other
governmental agency, if at least one of the grounds for discipline is the same
or substantially equivalent to any ground contained in this chapter.
7. Practicing after the license of the
professional engineer or professional land surveyor has expired or has been
suspended or revoked.
8. Failing to comply with an order issued by the
Board.
9. Failing to provide requested information
within 30 days after receipt of a request by the Board or its investigators
concerning a complaint made to the Board.
Sec. 29. NRS 625A.160 is
hereby amended to read as follows:
625A.160 The grounds for initiating disciplinary
action under this chapter are:
1. Unprofessional conduct;
2. Conviction of a felony relating to the practice of an environmental health specialist or
any offense involving moral turpitude;
3. The suspension or revocation of a certificate
or license as an environmental health specialist by any other jurisdiction; or
4. Failure to meet the requirements for
continuing education.
Sec. 30. NRS 628.190 is
hereby amended to read as follows:
628.190 1. Except
as otherwise provided in this section and NRS 628.310, a certificate of
certified public accountant must be granted by the Board to any person who:
(a) Is a
resident of this state or, if not a resident, has designated to the Board an
agent who is a resident for notification and service of process;
(b) Is a
person who is without any history of acts involving dishonesty or moral
turpitude;
(c) Complies
with the requirements of education and experience as provided in
NRS 628.200;
(d) Has
submitted to the Board a complete set of his fingerprints and written
permission authorizing the Board to forward the fingerprints to the Central
Repository for Nevada Records of Criminal History for submission to the Federal
Bureau of Investigation for its report; and
(e) Has
passed the examination prescribed by the Board.
2. The Board may refuse to grant a certificate
of certified public accountant to an applicant if he has been convicted of a
felony relating to the practice of a
certified public accountant under the laws of any state or of the United
States.
3. The Board may issue a provisional certificate
to an applicant until the Board receives the report from the Federal Bureau of
Investigation.
Sec. 31. NRS 628.390 is
hereby amended to read as follows:
628.390 1. After
giving notice and conducting a hearing, the Board may revoke, or may suspend
for a period of not more than 5 years, any certificate issued under NRS 628.190
to 628.310, inclusive, any registration or license granted to a registered
public accountant under NRS 628.350, or any registration of a partnership,
corporation, limited-liability company or office, or may revoke, suspend or
refuse to renew any permit issued under NRS 628.380, or may censure the holder
of any permit, for any one or any combination of the following causes:
(a) Fraud
or deceit in obtaining a certificate as a certified public accountant, or in
obtaining registration or a license as a public accountant under this chapter,
or in obtaining a permit to practice public accounting under this chapter.
(b) Dishonesty,
fraud or gross negligence by a certified or registered public accountant in the
practice of public accounting or, if not in the practice of public accounting,
of a kind which adversely affects the ability to perform public accounting.
(c) Violation
of any of the provisions of this chapter.
(d) Violation
of a regulation or rule of professional conduct adopted by the Board under the
authority granted by this chapter.
(e) Conviction
of a felony under the laws of any state or of the United States [.] relating to the practice of public accounting.
(f) Conviction
of any crime, an element of which is dishonesty or fraud, under the laws of any
state or of the United States.
(g) Cancellation,
revocation, suspension or refusal to renew authority to practice as a certified
public accountant or a registered public accountant by any other state, for any
cause other than failure to pay an annual registration fee or to comply with
requirements for continuing education or review of his practice in the other
state.
(h) Suspension
or revocation of the right to practice before any state or federal agency.
(i) Unless
the person has been placed on inactive or retired status, failure to obtain an
annual permit under NRS 628.380, within:
(1) Sixty
days after the expiration date of the permit to practice last obtained or
renewed by the holder of a certificate or registrant; or
(2) Sixty
days after the date upon which the holder of a certificate or registrant was
granted his certificate or registration, if no permit was ever issued to him,
unless the failure has been excused by the Board.
(j) Conduct
discreditable to the profession of public accounting or which reflects
adversely upon the fitness of the person to engage in the practice of public
accounting.
(k) Making
a false or misleading statement in support of an application for a certificate,
registration or permit of another person.
2. After giving notice and conducting a hearing,
the Board may deny an application to take the examination prescribed by the
Board pursuant to NRS 628.190, deny a person admission to such an examination,
invalidate a grade received for such an examination or deny an application for
a certificate issued pursuant to NRS 628.190 to 628.310, inclusive, to a person
who has:
(a) Made
any false or fraudulent statement, or any misleading statement or omission
relating to a material fact in an application:
(1) To
take the examination prescribed by the Board pursuant to NRS 628.190; or
(2) For
a certificate issued pursuant to NRS 628.190 to 628.310, inclusive;
(b) Cheated
on an examination prescribed by the Board pursuant to NRS 628.190 or any such
examination taken in another state or jurisdiction of the United States;
(c) Aided,
abetted or conspired with any person in a violation of the provisions of
paragraph (a) or (b); or
(d) Committed
any combination of the acts set forth in paragraphs (a), (b) and (c).
3. In addition to other penalties prescribed by
this section, the Board may impose a civil penalty of not more than $5,000 for
each violation of this section. The Board may recover:
(a) Attorney’s
fees and costs incurred with respect to a hearing held pursuant to this section
from a person who is found in violation of any of the provisions of this
section;
(b) Attorney’s
fees and costs incurred in the recovery of a civil penalty imposed pursuant to
this section; and
(c) Any
other costs incurred by the Board as a result of such a violation.
Sec. 32. NRS 630.301 is hereby amended to read
as follows:
630.301 The following acts, among others, constitute
grounds for initiating disciplinary action or denying licensure:
1. Conviction of [a felony,] any offense
involving moral turpitude or any offense relating to the practice of medicine
or the ability to practice medicine. A plea of nolo contendere is a conviction
for the purposes of this subsection.
2. Conviction of violating any of the provisions
of NRS 616D.200, 616D.220, 616D.240, 616D.300, 616D.310, or 616D.350 to
616D.440, inclusive.
3. The revocation, suspension, modification or limitation
of the license to practice any type of medicine by any other jurisdiction or
the surrender of the license or discontinuing the practice of medicine while
under investigation by any licensing authority, a medical facility, a branch of
the Armed Services of the United States, an insurance company, an agency of the
Federal Government or an employer.
4. Malpractice, which may be evidenced by claims
settled against a practitioner.
5. The engaging by a practitioner in any sexual
activity with a patient who is currently being treated by the practitioner.
6. Disruptive behavior with physicians, hospital
personnel, patients, members of the families of patients or any other persons
if the behavior interferes with patient care or has an adverse impact on the
quality of care rendered to a patient.
7. The engaging in conduct that violates the
trust of a patient and exploits the relationship between the physician and the
patient for financial or other personal gain.
8. The failure to offer appropriate procedures
or studies, to protest inappropriate denials by organizations for managed care,
to provide necessary services or to refer a patient to an appropriate provider,
when such a failure occurs with the intent of positively influencing the
financial well-being of the practitioner or an insurer.
9. The engaging in conduct that brings the
medical profession into disrepute, including, without limitation, conduct that
violates any provision of a national code of ethics adopted by the Board by
regulation.
10. The engaging in sexual contact with the
surrogate of a patient or other key persons related to a patient, including,
without limitation, a spouse, parent or legal guardian, which exploits the
relationship between the physician and the patient in a sexual manner.
Sec. 33. NRS 630A.340 is hereby amended to read as
follows:
630A.340 The following acts, among others, constitute
grounds for initiating disciplinary action or denying the issuance of a
license:
1. Unprofessional conduct.
2. Conviction of:
(a) A
violation of any federal or state law regulating the possession, distribution
or use of any controlled substance or any dangerous drug as defined in chapter
454 of NRS;
(b) [A
felony;
(c)]
A violation of any of the provisions of NRS 616D.200, 616D.220, 616D.240,
616D.300, 616D.310, or 616D.350 to 616D.440, inclusive;
[(d)] (c) Any offense involving moral
turpitude; or
[(e)] (d) Any offense relating to the
practice of homeopathic medicine or the ability to practice homeopathic
medicine.
A plea of nolo contendere to any offense listed in [paragraph
(a), (b), (c), (d) or (e)] this
subsection shall be deemed a conviction.
3. The suspension, modification or limitation of
a license to practice any type of medicine by any other jurisdiction.
4. The surrender of a license to practice any
type of medicine or the discontinuance of the practice of medicine while under
investigation by any licensing authority, medical facility, facility for the
dependent, branch of the Armed Forces of the United States, insurance company,
agency of the Federal Government or employer.
5. Gross or repeated malpractice, which may be
evidenced by claims of malpractice settled against a practitioner.
6. Professional incompetence.
Sec. 34. NRS 632.320 is hereby amended to read as
follows:
632.320 The Board may deny, revoke or suspend any
license or certificate applied for or issued pursuant to this chapter, or take
other disciplinary action against a licensee or holder of a certificate, upon
determining that he:
1. Is guilty of fraud or deceit in procuring or
attempting to procure a license or certificate pursuant to this chapter.
2. Is guilty of [a felony or] any
offense:
(a) Involving
moral turpitude; or
(b) Related
to the qualifications, functions or duties of a licensee or holder of a
certificate,
in which case the record of conviction is conclusive
evidence thereof.
3. Has been convicted of violating any of the
provisions of NRS 616D.200, 616D.220, 616D.240 or 616D.300 to 616D.440,
inclusive.
4. Is unfit or incompetent by reason of gross
negligence or recklessness in carrying out usual nursing functions.
5. Uses any controlled substance, dangerous drug
as defined in chapter 454 of NRS, or intoxicating liquor to an extent or in a
manner which is dangerous or injurious to any other person or which impairs his
ability to conduct the practice authorized by his license or certificate.
6. Is mentally incompetent.
7. Is guilty of unprofessional conduct, which
includes, but is not limited to, the following:
(a) Conviction
of practicing medicine without a license in violation of chapter 630 of NRS, in
which case the record of conviction is conclusive evidence thereof.
(b) Impersonating
any applicant or acting as proxy for an applicant in any examination required
pursuant to this chapter for the issuance of a license or certificate.
(c) Impersonating
another licensed practitioner or holder of a certificate.
(d) Permitting
or allowing another person to use his license or certificate to practice as a
licensed practical nurse, registered nurse or nursing assistant.
(e) Repeated
malpractice, which may be evidenced by claims of malpractice settled against
him.
(f) Physical,
verbal or psychological abuse of a patient.
(g) Conviction
for the use or unlawful possession of a controlled substance or dangerous drug
as defined in chapter 454 of NRS.
8. Has willfully or repeatedly violated the
provisions of this chapter. The voluntary surrender of a license or certificate
issued pursuant to this chapter is prima facie evidence that the licensee or
certificate holder has committed or expects to commit a violation of this chapter.
9. Is guilty of aiding or abetting any person in
a violation of this chapter.
10. Has falsified an entry on a patient’s medical
chart concerning a controlled substance.
11. Has falsified information which was given to
a physician, pharmacist, podiatric physician or dentist to obtain a controlled
substance.
12. Has been disciplined in another state in
connection with a license to practice nursing or a certificate to practice as a
nursing assistant or has committed an act in another state which would constitute
a violation of this chapter.
13. Has engaged in conduct likely to deceive,
defraud or endanger a patient or the general public.
14. Has willfully failed to comply with a
regulation, subpoena or order of the Board.
For the purposes of this section, a plea or verdict
of guilty or guilty but mentally ill or a plea of nolo contendere constitutes a
conviction of an offense. The Board may take disciplinary action pending the
appeal of a conviction.
Sec. 35. NRS 633.511 is
hereby amended to read as follows:
633.511 The grounds for initiating disciplinary
action pursuant to this chapter are:
1. Unprofessional conduct.
2. Conviction of:
(a) A
violation of any federal or state law regulating the possession, distribution
or use of any controlled substance or any dangerous drug as defined in chapter
454 of NRS;
(b) A
felony [;] relating to the practice of osteopathic medicine;
(c) A
violation of any of the provisions of NRS 616D.200, 616D.220, 616D.240 or
616D.300 to 616D.440, inclusive; or
(d) Any
offense involving moral turpitude.
3. The suspension of the license to practice
osteopathic medicine by any other jurisdiction.
4. Gross or repeated malpractice, which may be
evidenced by claims of malpractice settled against a practitioner.
5. Professional incompetence.
6. Failure to comply with the requirements of
NRS 633.526.
Sec. 36. NRS 634.140 is
hereby amended to read as follows:
634.140 The grounds for initiating disciplinary
action pursuant to this chapter are:
1. Unprofessional conduct.
2. Conviction of:
(a) A
violation of any federal or state law regulating the possession, distribution
or use of any controlled substance or any dangerous drug as defined in chapter
454 of NRS;
(b) A
felony [;] relating to the practice of chiropractic;
(c) A
violation of any of the provisions of NRS 616D.200, 616D.220, 616D.240 or
616D.300 to 616D.440, inclusive; or
(d) Any
offense involving moral turpitude.
3. Suspension or revocation of the license to
practice chiropractic by any other jurisdiction.
4. Gross or repeated malpractice.
5. Referring, in violation of NRS 439B.425, a
patient to a health facility, medical laboratory or commercial establishment in
which the licensee has a financial interest.
Sec. 37. NRS 634A.170 is hereby amended to read
as follows:
634A.170 The Board may refuse to issue or may suspend
or revoke any license for any one or any combination of the following causes:
1. Conviction of:
(a) A
felony [;] relating to the practice of Oriental medicine;
(b) Any offense
involving moral turpitude;
(c) A
violation of any state or federal law regulating the possession, distribution
or use of any controlled substance, as shown by a certified copy of the record
of the court; or
(d) A
violation of any of the provisions of NRS 616D.200, 616D.220, 616D.240 or
616D.300 to 616D.440, inclusive;
2. The obtaining of or any attempt to obtain a
license or practice in the profession for money or any other thing of value, by
fraudulent misrepresentations;
3. Gross or repeated malpractice, which may be
evidenced by claims of malpractice settled against a practitioner;
4. Advertising by means of a knowingly false or
deceptive statement;
5. Advertising, practicing or attempting to
practice under a name other than one’s own;
6. Habitual drunkenness or habitual addiction to
the use of a controlled substance;
7. Using any false, fraudulent or forged
statement or document, or engaging in any fraudulent, deceitful, dishonest or
immoral practice in connection with the licensing requirements of this chapter;
8. Sustaining a physical or mental disability
which renders further practice dangerous;
9. Engaging in any dishonorable, unethical or
unprofessional conduct which may deceive, defraud or harm the public, or which
is unbecoming a person licensed to practice under this chapter;
10. Using any false or fraudulent statement in
connection with the practice of Oriental medicine or any branch thereof;
11. Violating or attempting to violate, or
assisting or abetting the violation of, or conspiring to violate any provision
of this chapter;
12. Being adjudicated incompetent or insane;
13. Advertising in an unethical or unprofessional
manner;
14. Obtaining a fee or financial benefit for any
person by the use of fraudulent diagnosis, therapy or treatment;
15. Willful disclosure of a privileged
communication;
16. Failure of a licensee to designate the nature
of his practice in the professional use of his name by the term doctor of
Oriental medicine;
17. Willful violation of the law relating to the
health, safety or welfare of the public or of the regulations adopted by the
State Board of Health;
18. Administering, dispensing or prescribing any
controlled substance, except for the prevention, alleviation or cure of disease
or for relief from suffering; and
19. Performing, assisting or advising in the
injection of any liquid silicone substance into the human body.
Sec. 38. NRS 636.295 is
hereby amended to read as follows:
636.295 The following acts, conduct, omissions, or mental
or physical conditions, or any of them, committed, engaged in, omitted, or
being suffered by a licensee, constitute sufficient cause for disciplinary
action:
1. Affliction of the licensee with any
communicable disease likely to be communicated to other persons.
2. Commission by the licensee of a felony relating to the practice of optometry or
a gross misdemeanor involving moral turpitude of which he has been convicted
and from which he has been sentenced by a final judgment of a federal or state court
in this or any other state, the judgment not having been reversed or vacated by
a competent appellate court and the offense not having been pardoned by
executive authority.
3. Conviction of any of the provisions of NRS
616D.200, 616D.220, 616D.240 or 616D.300 to 616D.440, inclusive.
4. Commission of fraud by or on behalf of the
licensee in obtaining his license or a renewal thereof, or in practicing
optometry thereunder.
5. Habitual drunkenness or addiction to any
controlled substance.
6. Gross incompetency.
7. Affliction with any mental or physical
disorder or disturbance seriously impairing his competency as an optometrist.
8. Making false or misleading representations,
by or on behalf of the licensee, with respect to optometric materials or
services.
9. Practice by the licensee, or attempting or
offering so to do, while he is in an intoxicated condition.
10. Perpetration of unethical or unprofessional
conduct in the practice of optometry.
11. Any violation of the provisions of this chapter
or any regulations adopted pursuant thereto.
Sec. 39. NRS 637A.250 is
hereby amended to read as follows:
637A.250 The Board may take disciplinary action
against a licensee after a hearing which discloses that the licensee:
1. Has been convicted of a felony [.] relating to the practice of hearing aid specialists.
2. Has been convicted of violating any of the
provisions of NRS 616D.200, 616D.220, 616D.240 or 616D.300 to 616D.440,
inclusive.
3. Obtained the license by fraud or
misrepresentation.
4. Has made any false or fraudulent statements
concerning hearing aids or the business of hearing aid specialist.
5. Has been guilty of negligence, incompetence
or unprofessional conduct in his practice as a hearing aid specialist. As used
in this subsection, “unprofessional conduct” includes, without limitation:
(a) Conduct
which is intended to deceive or which the Board by specific regulation has
determined is unethical;
(b) Conduct
which is harmful to the public or any conduct detrimental to the public health
or safety;
(c) Conduct
for which disciplinary action was taken by an agency of another state which is
authorized to regulate the practice of hearing aid specialists; and
(d) Knowingly
employing, directly or indirectly, any person who is not licensed to fit or
dispense hearing aids or whose license to fit or dispense hearing aids has been
suspended or revoked.
6. Has loaned or transferred his license to
another person.
7. Willfully violated any law of this state or
any provision of this chapter regulating hearing aid specialists or the
operation of an office, store or other location for dispensing hearing aids.
Sec. 40. NRS 637B.250 is
hereby amended to read as follows:
637B.250 The grounds for initiating disciplinary
action pursuant to this chapter are:
1. Unprofessional conduct.
2. Conviction of:
(a) A
violation of any federal or state law regarding the possession, distribution or
use of any controlled substance or any dangerous drug as defined in chapter 454
of NRS;
(b) A felony [;] relating to the practice of audiology or speech pathology;
(c) A
violation of any of the provisions of NRS 616D.200, 616D.220, 616D.240 or
616D.300 to 616D.440, inclusive; or
(d) Any
offense involving moral turpitude.
3. Suspension or revocation of a license to
practice audiology or speech pathology by any other jurisdiction.
4. Gross or repeated malpractice, which may be
evidenced by claims of malpractice settled against a practitioner.
5. Professional incompetence.
Sec. 41. NRS 638.140 is
hereby amended to read as follows:
638.140 The following acts, among others, are grounds
for disciplinary action:
1. Violation of a regulation adopted by the
State Board of Pharmacy or the Nevada State Board of Veterinary Medical
Examiners;
2. Habitual drunkenness;
3. Addiction to the use of a controlled
substance;
4. Conviction of or a plea of nolo contendere to
a felony [,] related to the practice of veterinary
medicine, or any offense involving moral turpitude;
5. Incompetence;
6. Negligence;
7. Malpractice pertaining to veterinary medicine
as evidenced by an action for malpractice in which the holder of a license is
found liable for damages;
8. Conviction of a violation of any law
concerning the possession, distribution or use of a controlled substance or a
dangerous drug as defined in chapter 454 of NRS;
9. Willful failure to comply with any provision
of this chapter, a regulation, subpoena or order of the Board, the standard of
care established by the American Veterinary Medical Association, or an order of
a court;
10. Prescribing, administering or dispensing a
controlled substance to an animal to influence the outcome of a competitive
event in which the animal is a competitor;
11. Willful failure to comply with a request by
the Board for medical records within 14 days after receipt of a demand letter
issued by the Board;
12. Willful failure to accept service by mail or
in person from the Board;
13. Failure of a supervising veterinarian to
provide immediate or direct supervision to licensed or unlicensed personnel if
the failure results in malpractice or the death of an animal; and
14. Failure of a supervising veterinarian to
ensure that a licensed veterinarian is on the premises of a facility or agency
when medical treatment is administered to an animal if the treatment requires
direct or immediate supervision by a licensed veterinarian.
Sec. 42. NRS 639.210 is hereby amended to read
as follows:
639.210 The Board may suspend or revoke any
certificate, license, registration or permit issued pursuant to this chapter,
and deny the application of any person for a certificate, license, registration
or permit, if the holder or applicant:
1. Is not of good moral character;
2. Is guilty of habitual intemperance;
3. Becomes or is intoxicated or under the
influence of liquor, any depressant drug or a controlled substance, unless
taken pursuant to a lawfully issued prescription, while on duty in any
establishment licensed by the Board;
4. Is guilty of unprofessional conduct or
conduct contrary to the public interest;
5. Is addicted to the use of any controlled
substance;
6. Has been convicted of a violation of any law
or regulation of the Federal Government or of this or any other state related
to controlled substances, dangerous drugs, drug samples, or the wholesale or
retail distribution of drugs;
7. Has been convicted of [a] :
(a) A felony relating to holding a certificate, license, registration or permit
pursuant to this chapter; or [other]
(b) Other crime involving moral
turpitude, dishonesty or corruption;
8. Has been convicted of violating any of the
provisions of NRS 616D.200, 616D.220, 616D.240 or 616D.300 to 616D.440,
inclusive;
9. Has willfully made to the Board or its
authorized representative any false statement which is material to the
administration or enforcement of any of the provisions of this chapter;
10. Has obtained any certificate, certification,
license or permit by the filing of an application, or any record, affidavit or
other information in support thereof, which is false or fraudulent;
11. Has violated any provision of the Federal
Food, Drug and Cosmetic Act or any other federal law or regulation relating to
prescription drugs;
12. Has violated, attempted to violate, assisted
or abetted in the violation of or conspired to violate any of the provisions of
this chapter or any law or regulation relating to drugs, the manufacture or
distribution of drugs or the practice of pharmacy, or has knowingly permitted,
allowed, condoned or failed to report a violation of any of the provisions of
this chapter or any law or regulation relating to drugs, the manufacture or
distribution of drugs or the practice of pharmacy committed by the holder of a
certificate, license, registration or permit;
13. Has failed to renew his certificate, license
or permit by failing to submit the application for renewal or pay the renewal
fee therefor;
14. Has had his certificate, license or permit
suspended or revoked in another state on grounds which would cause suspension
or revocation of a certificate, license or permit in this state;
15. Has, as a managing pharmacist, violated any
provision of law or regulation concerning recordkeeping or inventory in a store
over which he presides, or has knowingly allowed a violation of any provision
of this chapter or other state or federal laws or regulations relating to the
practice of pharmacy by personnel of the pharmacy under his supervision;
16. Has repeatedly been negligent, which may be
evidenced by claims of malpractice settled against him; or
17. Has failed to maintain and make available to
a state or federal officer any records in accordance with the provisions of
this chapter or chapter 453 or 454 of NRS.
Sec. 43. NRS 640A.200 is hereby amended to read as
follows:
640A.200 1. The
Board may, after notice and hearing, suspend, revoke or refuse to issue or
renew a license to practice as an occupational therapist or occupational
therapy assistant, or may impose conditions upon the use of that license, if the
Board determines that the holder of or applicant for the license is guilty of
unprofessional conduct which has endangered or is likely to endanger the public
health, safety or welfare. The Board may reinstate a revoked license upon
application by the person to whom the license was issued not less than 1 year
after the license is revoked.
2. If the Board receives a report pursuant to
subsection 5 of NRS 228.420, a hearing must be held to consider the report
within 30 days after receiving the report.
3. As used in this section, “unprofessional
conduct” includes:
(a) The
obtaining of a license by fraud or through the misrepresentation or concealment
of a material fact;
(b) The
conviction of [any crime, except a misdemeanor which does not involve] :
(1) A felony or gross misdemeanor relating
to the practice of occupational therapy; or
(2) Any crime involving moral turpitude;
and
(c) The
violation of any provision of this chapter or regulation of the Board adopted
pursuant to this chapter.
Sec. 44. NRS 641.230 is
hereby amended to read as follows:
641.230 The Board may suspend the license of a
psychologist, place a psychologist on probation, revoke the license of a
psychologist, require remediation for a psychologist or take any other action
specified by regulation if the Board finds by a preponderance of the evidence
that the psychologist has:
1. Been convicted of a felony [.] relating to the practice of psychology.
2. Been convicted of any crime or offense that
reflects the inability of the psychologist to practice psychology with due
regard for the health and safety of others.
3. Been convicted of violating any of the
provisions of NRS 616D.200, 616D.220, 616D.240 or 616D.300 to 616D.440,
inclusive.
4. Engaged in gross malpractice or repeated
malpractice or gross negligence in the practice of psychology.
5. Aided or abetted the practice of psychology
by a person not licensed by the Board.
6. Made any fraudulent or untrue statement to
the Board.
7. Violated a regulation adopted by the Board.
8. Had his license to practice psychology
suspended or revoked or has had any other disciplinary action taken against him
by another state or territory of the United States, the District of Columbia or
a foreign country, if at least one of the grounds for discipline is the same or
substantially equivalent to any ground contained in this chapter.
9. Failed to report to the Board within 30 days
the revocation, suspension or surrender of, or any other disciplinary action
taken against, a license or certificate to practice psychology issued to him by
another state or territory of the United States, the District of Columbia or a
foreign country.
10. Violated or attempted to violate, directly or
indirectly, or assisted in or abetted the violation of or conspired to violate
a provision of this chapter.
11. Performed or attempted to perform any
professional service while impaired by alcohol, drugs or by a mental or
physical illness, disorder or disease.
12. Engaged in sexual activity with a patient.
13. Been convicted of abuse or fraud in
connection with any state or federal program which provides medical assistance.
14. Been convicted of submitting a false claim
for payment to the insurer of a patient.
Sec. 45. NRS 641A.310 is hereby amended to read as
follows:
641A.310 The Board may refuse to grant a license or
may suspend or revoke a license for any of the following reasons:
1. Conviction of a felony [,] relating to the
practice of marriage and family therapy or of any offense involving moral
turpitude, the record of conviction being conclusive evidence thereof.
2. Habitual drunkenness or addiction to the use
of a controlled substance.
3. Impersonating a licensed marriage and family
therapist or allowing another person to use his license.
4. Using fraud or deception in applying for a
license or in passing the examination provided for in this chapter.
5. Rendering or offering to render services
outside the area of his training, experience or competence.
6. Committing unethical practices contrary to
the interest of the public as determined by the Board.
7. Unprofessional conduct as determined by the
Board.
8. Negligence, fraud or deception in connection
with services he is licensed to provide pursuant to this chapter.
Sec. 46. NRS 641B.400 is
hereby amended to read as follows:
641B.400 The grounds for initiating disciplinary action
pursuant to this chapter are:
1. Unprofessional conduct;
2. Conviction of:
(a) A
felony [;] relating to the practice of social work;
(b) Any
offense involving moral turpitude; or
(c) A
violation of any federal or state law regulating the possession, distribution
or use of any controlled substance or dangerous drug as defined in chapter 454
of NRS;
3. Use of fraud or deception in:
(a) Applying
for a license;
(b) Undergoing
the initial licensing examination; or
(c) Rendering
services as a social worker;
4. Allowing unauthorized use of a license issued
pursuant to this chapter;
5. Professional incompetence;
6. Practicing social work without a license; and
7. The habitual use of alcohol or any controlled
substance which impairs the ability to practice social work.
Sec. 47. NRS 641C.700 is
hereby amended to read as follows:
641C.700 The grounds for initiating disciplinary
action pursuant to the provisions of this chapter include:
1. Conviction of:
(a) A
felony [;] relating to the practice of counseling alcohol and drug abusers;
(b) An
offense involving moral turpitude; or
(c) A
violation of a federal or state law regulating the possession, distribution or
use of a controlled substance or dangerous drug as defined in chapter 453 of NRS;
2. Fraud or deception in:
(a) Applying
for a license or certificate;
(b) Taking
an examination for a license or certificate;
(c) Documenting
the continuing education required to renew or reinstate a license or
certificate;
(d) Submitting
a claim for payment to an insurer; or
(e) The
practice of counseling alcohol and drug abusers;
3. Allowing the unauthorized use of a license or
certificate issued pursuant to this chapter;
4. Professional incompetence;
5. The habitual use of alcohol or any other drug
that impairs the ability of a licensed or certified counselor or certified
intern to engage in the practice of counseling alcohol and drug abusers;
6. Engaging in the practice of counseling
alcohol and drug abusers with an expired, suspended or revoked license or
certificate; and
7. Engaging in behavior that is contrary to the
ethical standards as set forth in the regulations of the Board.
Sec. 48. NRS 642.130 is
hereby amended to read as follows:
642.130 The following acts are grounds for which the
Board may take disciplinary action against a person who is licensed to practice
the profession of embalming pursuant to this chapter or refuse to issue such a
license to an applicant therefor:
1. Gross incompetency.
2. Unprofessional, unethical or dishonest
conduct.
3. Habitual intemperance.
4. Fraud or misrepresentation in obtaining or
attempting to obtain a license to practice the profession of embalming.
5. Employment by the licensee of persons
commonly known as “cappers,” “steerers” or “solicitors,” or of other persons to
obtain funeral directing or embalming business.
6. Malpractice.
7. Gross immorality.
8. The unlawful use of any controlled substance.
9. Conviction of a felony [.] relating to the
practice of embalming.
10. False or misleading advertising as defined in
NRS 642.490, or false or misleading statements in the sale of merchandise or
services.
11. Refusal to surrender promptly the custody of
a dead human body upon the request of a person who is legally entitled to
custody of the body.
12. Violation by the licensee of any provision of
this chapter, any regulation adopted pursuant thereto or any other law of this
state relating to the practice of any of the professions regulated by the
Board.
13. The theft or misappropriation of money in a
trust fund established and maintained pursuant to chapter 689 of NRS.
Sec. 49. NRS 642.470 is
hereby amended to read as follows:
642.470 The following acts are grounds for which the
Board may take disciplinary action against a person who holds a funeral
director’s license, a permit to operate a funeral establishment or a license to
conduct direct cremations or immediate burials, or refuse to issue such a
license or permit to an applicant therefor:
1. Conviction of a crime involving moral
turpitude.
2. Unprofessional conduct.
3. False or misleading advertising.
4. Conviction of a felony [.] relating to the
practice of funeral directors.
5. Conviction of a misdemeanor that is related
directly to the business of a funeral establishment.
Sec. 50. NRS 643.185 is
hereby amended to read as follows:
643.185 1. The
following are grounds for disciplinary action by the Board:
(a) Violation
by any person licensed pursuant to the provisions of this chapter of any
provision of this chapter or the regulations adopted by the Board.
(b) Conviction
of a felony [.] relating to the practice of barbers.
(c) Malpractice
or incompetency.
(d) Continued
practice by a person knowingly having an infectious or contagious disease.
(e) Advertising,
practicing or attempting to practice under another’s name or trade name.
(f) Drunkenness
or addiction to a controlled substance.
2. If the Board determines that a violation of
this section has occurred, it may:
(a) Refuse
to issue or renew a license;
(b) Revoke
or suspend a license;
(c) Impose
a fine of not more than $1,000; and
(d) Require
the person to pay all costs incurred by the Board relating to the discipline of
the person.
Sec. 51. NRS 645.633 is
hereby amended to read as follows:
645.633 1. The
Commission may take action pursuant to NRS 645.630 against any person subject
to that section who is guilty of:
(a) Willfully
using any trade name, service mark or insigne of membership in any real estate
organization of which the licensee is not a member, without the legal right to
do so.
(b) Violating
any order of the Commission, any agreement with the Division, any of the
provisions of this chapter, chapter 116, 119, 119A, 119B, 645A or 645C of NRS
or any regulation adopted thereunder.
(c) Paying
a commission, compensation or a finder’s fee to any person for performing the
services of a broker, broker-salesman or salesman who has not secured his
license pursuant to this chapter. This subsection does not apply to payments to
a broker who is licensed in his state of residence.
(d) [A
felony, or has] Has been convicted
of, or entered a plea of guilty, guilty but mentally ill or nolo contendere
to [a charge of] :
(1) A felony relating to the practice of the licensee, property manager or owner‑developer;
or [any]
(2) Any crime involving fraud, deceit,
misrepresentation or moral turpitude.
(e) Guaranteeing,
or having authorized or permitted any person to guarantee, future profits which
may result from the resale of real property.
(f) Failure
to include a fixed date of expiration in any written brokerage agreement or to
leave a copy of the brokerage agreement with the client.
(g) Accepting,
giving or charging any undisclosed commission, rebate or direct profit on
expenditures made for a client.
(h) Gross
negligence or incompetence in performing any act for which he is required to
hold a license pursuant to this chapter, chapter 119, 119A or 119B of NRS.
(i) Any
other conduct which constitutes deceitful, fraudulent or dishonest dealing.
(j) Any
conduct which took place before he became licensed, which was in fact unknown
to the Division and which would have been grounds for denial of a license had
the Division been aware of the conduct.
(k) Knowingly
permitting any person whose license has been revoked or suspended to act as a
real estate broker, broker-salesman or salesman, with or on behalf of the
licensee.
(l) Recording
or causing to be recorded a claim pursuant to the provisions of NRS 645.8701 to
645.8811, inclusive, that is determined by a district court to be frivolous and
made without reasonable cause pursuant to NRS 645.8791.
2. The Commission may take action pursuant to
NRS 645.630 against a person who is subject to that section for the suspension
or revocation of a real estate broker’s, broker‑salesman’s or salesman’s
license issued to him by any other jurisdiction.
3. The Commission may take action pursuant to
NRS 645.630 against any person who:
(a) Holds a
permit to engage in property management issued pursuant to NRS 645.6052; and
(b) In
connection with any property for which the person has obtained a written
brokerage agreement to manage the property pursuant to NRS 645.6056:
(1) Is
convicted of violating any of the provisions of NRS 202.470;
(2) Has
been notified in writing by the appropriate governmental agency of a potential
violation of NRS 244.360, 244.3603 or 268.4124, and has failed to inform the
owner of the property of such notification; or
(3) Has
been directed in writing by the owner of the property to correct a potential
violation of NRS 244.360, 244.3603 or 268.4124, and has failed to correct the
potential violation, if such corrective action is within the scope of the
person’s duties pursuant to the written brokerage agreement.
4. The Division shall maintain a log of any
complaints that it receives relating to activities for which the Commission may
take action against a person holding a permit to engage in property management
pursuant to subsection 3.
5. On or before February 1 of each odd-numbered
year, the Division shall submit to the Director of the Legislative Counsel
Bureau a written report setting forth, for the previous biennium:
(a) Any
complaints included in the log maintained by the Division pursuant to
subsection 4; and
(b) Any
disciplinary actions taken by the Commission pursuant to subsection 3.
Sec. 52. NRS 645A.090 is
hereby amended to read as follows:
645A.090 1. The
Commissioner may refuse to license any escrow agent or agency or may suspend or
revoke any license or impose a fine of not more than $500 for each violation by
entering an order to that effect, with his findings in respect thereto, if upon
a hearing, it is determined that the applicant or licensee:
(a) In the
case of an escrow agency, is insolvent;
(b) Has
violated any provision of this chapter or any regulation adopted pursuant
thereto or has aided and abetted another to do so;
(c) In the
case of an escrow agency, is in such a financial condition that he cannot
continue in business with safety to his customers;
(d) Has
committed fraud in connection with any transaction governed by this chapter;
(e) Has
intentionally or knowingly made any misrepresentation or false statement to, or
concealed any essential or material fact from, any principal or designated
agent of a principal in the course of the escrow business;
(f) Has
intentionally or knowingly made or caused to be made to the Commissioner any
false representation of a material fact or has suppressed or withheld from the
Commissioner any information which the applicant or licensee possesses;
(g) Has
failed without reasonable cause to furnish to the parties of an escrow their
respective statements of the settlement within a reasonable time after the
close of escrow;
(h) Has
failed without reasonable cause to deliver, within a reasonable time after the
close of escrow, to the respective parties of an escrow transaction any money,
documents or other properties held in escrow in violation of the provisions of
the escrow instructions;
(i) Has
refused to permit an examination by the Commissioner of his books and affairs
or has refused or failed, within a reasonable time, to furnish any information
or make any report that may be required by the Commissioner pursuant to the
provisions of this chapter;
(j) Has
been convicted of a felony relating to
the practice of escrow agents or agencies or any misdemeanor of which an
essential element is fraud;
(k) In the
case of an escrow agency, has failed to maintain complete and accurate records
of all transactions within the last 6 years;
(l) Has
commingled the money of others with his own or converted the money of others to
his own use;
(m) Has
failed, before the close of escrow, to obtain written escrow instructions
concerning any essential or material fact or intentionally failed to follow the
written instructions which have been agreed upon by the parties and accepted by
the holder of the escrow;
(n) Has
failed to disclose in writing that he is acting in the dual capacity of escrow
agent or agency and undisclosed principal in any transaction; or
(o) In the
case of an escrow agency, has:
(1) Failed
to maintain adequate supervision of an escrow agent; or
(2) Instructed
an escrow agent to commit an act which would be cause for the revocation of the
escrow agent’s license and the escrow agent committed the act. An escrow agent
is not subject to disciplinary action for committing such an act under
instruction by the escrow agency.
2. It is sufficient cause for the imposition of
a fine or the refusal, suspension or revocation of the license of a
partnership, corporation or any other association that any member of the
partnership or any officer or director of the corporation or association has
been guilty of any act or omission which would be cause for such action had the
applicant or licensee been a natural person.
3. The Commissioner may suspend any license for
not more than 30 days, pending a hearing, if upon examination into the affairs
of the licensee it is determined that any of the grounds enumerated in
subsection 1 or 2 exist.
4. The Commissioner may refuse to issue a
license to any person who, within 10 years before the date of applying for a
current license, has had suspended or revoked a license issued pursuant to this
chapter or a comparable license issued by any other state, district or
territory of the United States or any foreign country.
Sec. 53. NRS 645B.020 is
hereby amended to read as follows:
645B.020 1. A
person who wishes to be licensed as a mortgage broker must file a written
application for a license with the office of the Commissioner and pay the fee
required pursuant to NRS 645B.050. An application for a license as a mortgage
broker must:
(a) Be
verified.
(b) State
the name, residence address and business address of the applicant and the
location of each principal office and branch office at which the mortgage
broker will conduct business within this state.
(c) State
the name under which the applicant will conduct business as a mortgage broker.
(d) List
the name, residence address and business address of each person who will:
(1) If
the applicant is not a natural person, have an interest in the mortgage broker
as a principal, partner, officer, director or trustee, specifying the capacity
and title of each such person.
(2) Be
associated with or employed by the mortgage broker as a mortgage agent.
(e) If the
applicant is a natural person, include the social security number of the
applicant.
(f) Include
a general business plan and a description of the policies and procedures that
the mortgage broker and his mortgage agents will follow to arrange and service
loans and to conduct business pursuant to this chapter.
(g) State
the length of time the applicant has been engaged in the business of a broker.
(h) Include
a financial statement of the applicant and, if applicable, satisfactory proof
that the applicant will be able to maintain continuously the net worth required
pursuant to NRS 645B.115.
(i) Include
any other information required pursuant to the regulations adopted by the
Commissioner or an order of the Commissioner.
2. If a mortgage broker will conduct business at
one or more branch offices within this state, the mortgage broker must apply
for a license for each such branch office.
3. Except as otherwise provided in this chapter,
the Commissioner shall issue a license to an applicant as a mortgage broker if:
(a) The application
complies with the requirements of this chapter;
(b) The
applicant submits the statement required pursuant to NRS 645B.023, if the
applicant is required to do so; and
(c) The
applicant and each general partner, officer or director of the applicant, if
the applicant is a partnership, corporation or unincorporated association:
(1) Has
a good reputation for honesty, trustworthiness and integrity and displays
competence to transact the business of a mortgage broker in a manner which
safeguards the interests of the general public. The applicant must submit
satisfactory proof of these qualifications to the Commissioner.
(2) Has
not been convicted of, or entered a plea of nolo contendere to, a felony relating to the practice of mortgage brokers
or any crime involving fraud, misrepresentation or moral turpitude.
(3) Has
not made a false statement of material fact on his application.
(4) Has
not had a license that was issued pursuant to the provisions of this chapter or
chapter 645E of NRS suspended or revoked within the 10 years immediately
preceding the date of his application.
(5) Has
not had a license that was issued in any other state, district or territory of
the United States or any foreign country suspended or revoked within the 10
years immediately preceding the date of his application.
(6) Has
not violated any provision of this chapter or chapter 645E of NRS, a regulation
adopted pursuant thereto or an order of the Commissioner.
Sec. 54. NRS 645B.020 is
hereby amended to read as follows:
645B.020 1. A
person who wishes to be licensed as a mortgage broker must file a written
application for a license with the office of the Commissioner and pay the fee
required pursuant to NRS 645B.050. An application for a license as a mortgage
broker must:
(a) Be
verified.
(b) State
the name, residence address and business address of the applicant and the
location of each principal office and branch office at which the mortgage
broker will conduct business within this state.
(c) State
the name under which the applicant will conduct business as a mortgage broker.
(d) List
the name, residence address and business address of each person who will:
(1) If
the applicant is not a natural person, have an interest in the mortgage broker
as a principal, partner, officer, director or trustee, specifying the capacity
and title of each such person.
(2) Be
associated with or employed by the mortgage broker as a mortgage agent.
(e) Include
a general business plan and a description of the policies and procedures that
the mortgage broker and his mortgage agents will follow to arrange and service
loans and to conduct business pursuant to this chapter.
(f) State
the length of time the applicant has been engaged in the business of a mortgage
broker.
(g) Include
a financial statement of the applicant and, if applicable, satisfactory proof
that the applicant will be able to maintain continuously the net worth required
pursuant to
NRS 645B.115.
(h) Include
any other information required pursuant to the regulations adopted by the
Commissioner or an order of the Commissioner.
2. If a mortgage broker will conduct business at
one or more branch offices within this state, the mortgage broker must apply
for a license for each such branch office.
3. Except as otherwise provided in this chapter,
the Commissioner shall issue a license to an applicant as a mortgage broker if:
(a) The
application complies with the requirements of this chapter; and
(b) The
applicant and each general partner, officer or director of the applicant, if
the applicant is a partnership, corporation or unincorporated association:
(1) Has
a good reputation for honesty, trustworthiness and integrity and displays
competence to transact the business of a mortgage broker in a manner which
safeguards the interests of the general public. The applicant must submit
satisfactory proof of these qualifications to the Commissioner.
(2) Has
not been convicted of, or entered a plea of nolo contendere to, a felony relating to the practice of mortgage brokers
or any crime involving fraud, misrepresentation or moral turpitude.
(3) Has
not made a false statement of material fact on his application.
(4) Has
not had a license that was issued pursuant to the provisions of this chapter or
chapter 645E of NRS suspended or revoked within the 10 years immediately
preceding the date of his application.
(5) Has
not had a license that was issued in any other state, district or territory of
the United States or any foreign country suspended or revoked within the 10 years
immediately preceding the date of his application.
(6) Has
not violated any provision of this chapter or chapter 645E of NRS, a regulation
adopted pursuant thereto or an order of the Commissioner.
Sec. 55. NRS 645B.0243 is hereby amended to
read as follows:
645B.0243 The Commissioner may refuse to issue a
license to an applicant if the Commissioner has reasonable cause to believe
that the applicant or any general partner, officer or director of the applicant
has, after October 1, 1999, employed or proposed to employ a person as a
mortgage agent or authorized or proposed to authorize a person to be associated
with a mortgage broker as a mortgage agent at a time when the applicant or the
general partner, officer or director knew or, in light of all the surrounding
facts and circumstances, reasonably should have known that the person:
1. Had been convicted of, or entered a plea of
nolo contendere to [, a] :
(a) A felony relating to the practice of mortgage brokers; or [any]
(b) Any crime involving fraud,
misrepresentation or moral turpitude; or
2. Had a financial services license or
registration suspended or revoked within the immediately preceding 10 years.
Sec. 56. NRS 645B.450 is
hereby amended to read as follows:
645B.450 1. A
person shall not act as or provide any of the services of a mortgage agent or
otherwise engage in, carry on or hold himself out as engaging in or carrying on
the activities of a mortgage agent if the person:
(a) Has
been convicted of, or entered a plea of nolo contendere to [, a] :
(1) A felony relating to the practice of mortgage agents; or [any]
(2) Any crime involving fraud,
misrepresentation or moral turpitude; or
(b) Has had
a financial services license or registration suspended or revoked within the
immediately preceding 10 years.
2. A mortgage agent may not be associated with
or employed by more than one mortgage broker at the same time.
3. A mortgage broker shall register with the
Division each person who will be associated with or employed by the mortgage
broker as a mortgage agent. A mortgage broker shall register each such person with
the Division when the person begins his association or employment with the
mortgage broker and annually thereafter. A registration expires 12 months after
its effective date.
4. To register a person as a mortgage agent, a
mortgage broker must:
(a) Submit
to the Division a registration form which is provided by the Division and
which:
(1) States
the name, residence address and business address of the person;
(2) Is
signed by the person;
(3) Includes
a provision by which the person gives his written consent to an investigation
of his credit history, criminal history and background; and
(4) Includes
any other information or supporting materials required by the regulations
adopted by the Commissioner. Such information or supporting materials may include,
without limitation, a complete set of fingerprints from the person, the social
security number of the person and other forms of identification of the person.
(b) For
each initial registration, pay the actual costs and expenses incurred by the
Division to investigate the credit history, criminal history and background of
the person. All money received pursuant to this paragraph must be placed in the
Investigative Account for Financial
Institutions created by NRS 232.545.
(c) For
each annual registration, submit to the Division satisfactory proof that the
person attended at least 5 hours of certified courses of continuing education
during the 12 months immediately preceding the date on which the registration
expires.
5. Not later than the date on which the mortgage
broker submits the information for annual registration required by subsection
4, the person being registered shall pay an annual registration fee of $125. If
the person does not pay the annual registration fee, the person shall be deemed
to be unregistered for the purposes of this chapter.
6. A mortgage broker shall not employ a person
as a mortgage agent or authorize a person to be associated with the mortgage
broker as a mortgage agent if the mortgage broker has not registered the person
with the Division pursuant to this section or if the person:
(a) Has
been convicted of, or entered a plea of nolo contendere to, a felony relating to the practice of mortgage agents or
any crime involving fraud, misrepresentation or moral turpitude; or
(b) Has had
a financial services license or registration suspended or revoked within the
immediately preceding 10 years.
7. If a mortgage agent terminates his
association or employment with a mortgage broker for any reason, the mortgage
broker shall, not later than the third business day following the date of
termination:
(a) Deliver
to the mortgage agent or send by certified mail to the last known residence
address of the mortgage agent a written statement which advises him that his
termination is being reported to the Division; and
(b) Deliver
or send by certified mail to the Division:
(1) A
written statement of the circumstances surrounding the termination; and
(2) A
copy of the written statement that the mortgage broker delivers or mails to the
mortgage agent pursuant to paragraph (a).
8. As used in this section, “certified course of
continuing education” has the meaning ascribed to it in NRS 645B.051.
Sec. 57. NRS 645B.670 is
hereby amended to read as follows:
645B.670 Except as otherwise provided in NRS 645B.690:
1. For each violation committed by an applicant,
whether or not he is issued a license, the Commissioner may impose upon the
applicant an administrative fine of not more than $10,000, if the applicant:
(a) Has
knowingly made or caused to be made to the Commissioner any false representation
of material fact;
(b) Has
suppressed or withheld from the Commissioner any information which the
applicant possesses and which, if submitted by him, would have rendered the
applicant ineligible to be licensed pursuant to the provisions of this chapter;
or
(c) Has
violated any provision of this chapter, a regulation adopted pursuant to this
chapter or an order of the Commissioner in completing and filing his
application for a license or during the course of the investigation of his
application for a license.
2. For each violation committed by a licensee,
the Commissioner may impose upon the licensee an administrative fine of not
more than $10,000, may suspend, revoke or place conditions upon his license, or
may do both, if the licensee, whether or not acting as such:
(a) Is
insolvent;
(b) Is
grossly negligent or incompetent in performing any act for which he is required
to be licensed pursuant to the provisions of this chapter;
(c) Does
not conduct his business in accordance with law or has violated any provision
of this chapter, a regulation adopted pursuant to this chapter or an order of
the Commissioner;
(d) Is in
such financial condition that he cannot continue in business with safety to his
customers;
(e) Has
made a material misrepresentation in connection with any transaction governed
by this chapter;
(f) Has
suppressed or withheld from a client any material facts, data or other
information relating to any transaction governed by the provisions of this
chapter which the licensee knew or, by the exercise of reasonable diligence,
should have known;
(g) Has
knowingly made or caused to be made to the Commissioner any false
representation of material fact or has suppressed or withheld from the
Commissioner any information which the licensee possesses and which, if
submitted by him, would have rendered the licensee ineligible to be licensed
pursuant to the provisions of this chapter;
(h) Has
failed to account to persons interested for all money received for a trust
account;
(i) Has
refused to permit an examination by the Commissioner of his books and affairs
or has refused or failed, within a reasonable time, to furnish any information
or make any report that may be required by the Commissioner pursuant to the
provisions of this chapter or a regulation adopted pursuant to this chapter;
(j) Has
been convicted of, or entered a plea of nolo contendere to, a felony relating to the practice of mortgage brokers
or any crime involving fraud, misrepresentation or moral turpitude;
(k) Has
refused or failed to pay, within a reasonable time, any fees, assessments,
costs or expenses that the licensee is required to pay pursuant to this chapter
or a regulation adopted pursuant to this chapter;
(l) Has
failed to satisfy a claim made by a client which has been reduced to judgment;
(m) Has
failed to account for or to remit any money of a client within a reasonable
time after a request for an accounting or remittal;
(n) Has
commingled the money or other property of a client with his own or has
converted the money or property of others to his own use;
(o) Has
engaged in any other conduct constituting a deceitful, fraudulent or dishonest
business practice;
(p) Has
repeatedly violated the policies and procedures of the mortgage broker;
(q) Has
failed to exercise reasonable supervision over the activities of a mortgage
agent as required by NRS 645B.460;
(r) Has
instructed a mortgage agent to commit an act that would be cause for the
revocation of the license of the mortgage broker, whether or not the mortgage
agent commits the act;
(s) Has
employed a person as a mortgage agent or authorized a person to be associated
with the licensee as a mortgage agent at a time when the licensee knew or, in
light of all the surrounding facts and circumstances, reasonably should have
known that the person:
(1) Had
been convicted of, or entered a plea of nolo contendere to, a felony relating to the practice of mortgage agents or
any crime involving fraud, misrepresentation or moral turpitude; or
(2) Had
a financial services license or registration suspended or revoked within the
immediately preceding 10 years; or
(t) Has not
conducted verifiable business as a mortgage broker for 12 consecutive months,
except in the case of a new applicant. The Commissioner shall determine whether
a mortgage broker is conducting business by examining the monthly reports of
activity submitted by the licensee or by conducting an examination of the
licensee.
Sec. 58. NRS 645C.460 is
hereby amended to read as follows:
645C.460 1. Grounds
for disciplinary action against a certified or licensed appraiser or registered
intern include:
(a) Unprofessional
conduct;
(b) Professional
incompetence;
(c) A
criminal conviction for a felony relating
to the practice of appraisers or any offense involving moral turpitude; and
(d) The
suspension or revocation of a registration card, certificate, license or permit
to act as an appraiser in any other jurisdiction.
2. If grounds for disciplinary action against an
appraiser or intern exist, the Commission may do one or more of the following:
(a) Revoke or
suspend his certificate, license or registration card.
(b) Place
conditions upon his certificate, license or registration card, or upon the
reissuance of a certificate, license or registration card revoked pursuant to
this section.
(c) Deny
the renewal of his certificate, license or registration card.
(d) Impose
a fine of not more than $1,000 for each violation.
3. If a certificate, license or registration
card is revoked by the Commission, another certificate, license or registration
card must not be issued to the same appraiser or intern for at least 1 year
after the date of the revocation, or at any time thereafter except in the sole
discretion of the Administrator, and then only if the appraiser or intern
satisfies all the requirements for an original certificate, license or
registration card.
4. If discipline is imposed pursuant to this
section, the costs of the proceeding, including investigative costs and
attorney’s fees, may be recovered by the Commission.
Sec. 59. NRS 645E.200 is hereby amended to read
as follows:
645E.200 1. A
person who wishes to be licensed as a mortgage company must file a written
application for a license with the Office of the Commissioner and pay the fee
required pursuant to NRS 645E.280. An application for a license as a mortgage
company must:
(a) Be
verified.
(b) State
the name, residence address and business address of the applicant and the
location of each principal office and branch office at which the mortgage
company will conduct business in this state, including, without limitation, any
office or other place of business located outside this state from which the
mortgage company will conduct business in this state.
(c) State
the name under which the applicant will conduct business as a mortgage company.
(d) If the
applicant is not a natural person, list the name, residence address and
business address of each person who will have an interest in the mortgage
company as a principal, partner, officer, director or trustee, specifying the
capacity and title of each such person.
(e) Indicate
the general plan and character of the business.
(f) State
the length of time the applicant has been engaged in the business of a mortgage
company.
(g) Include
a financial statement of the applicant.
(h) Include
any other information required pursuant to the regulations adopted by the
Commissioner or an order of the Commissioner.
2. If a mortgage company will conduct business
in this state at one or more branch offices, the mortgage company must apply
for a license for each such branch office.
3. Except as otherwise provided in this chapter,
the Commissioner shall issue a license to an applicant as a mortgage company
if:
(a) The
application complies with the requirements of this chapter; and
(b) The
applicant and each general partner, officer or director of the applicant, if
the applicant is a partnership, corporation or unincorporated association:
(1) Has
a good reputation for honesty, trustworthiness and integrity and displays
competence to transact the business of a mortgage company in a manner which
safeguards the interests of the general public. The applicant must submit
satisfactory proof of these qualifications to the Commissioner.
(2) Has
not been convicted of, or entered a plea of nolo contendere to, a felony relating to the practice of mortgage
companies or any crime involving fraud, misrepresentation or moral
turpitude.
(3) Has
not made a false statement of material fact on his application.
(4) Has
not had a license that was issued pursuant to the provisions of this chapter or
chapter 645B of NRS suspended or revoked within the 10 years immediately
preceding the date of his application.
(5) Has
not had a license that was issued in any other state, district or territory of
the United States or any foreign country suspended or revoked within the 10
years immediately preceding the date of his application.
(6) Has
not violated any provision of this chapter or chapter 645B of NRS, a regulation
adopted pursuant thereto or an order of the Commissioner.
4. If an applicant is a partnership, corporation
or unincorporated association, the Commissioner may refuse to issue a license
to the applicant if any member of the partnership or any officer or director of
the corporation or unincorporated association has committed any act or omission
that would be cause for refusing to issue a license to a natural person.
5. A person may apply for a license for an
office or other place of business located outside this state from which the
applicant will conduct business in this state if the applicant or a subsidiary
or affiliate of the applicant has a license issued pursuant to this chapter for
an office or other place of business located in this state and if the applicant
submits with the application for a license a statement signed by the applicant
which states that the applicant agrees to:
(a) Make
available at a location within this state the books, accounts, papers, records
and files of the office or place of business located outside this state to the
Commissioner or a representative of the Commissioner; or
(b) Pay the
reasonable expenses for travel, meals and lodging of the Commissioner or a
representative of the Commissioner incurred during any investigation or
examination made at the office or place of business located outside this state.
The applicant must be allowed to choose between
paragraph (a) or (b) in complying with the provisions of this subsection.
Sec. 60. NRS 645E.670 is
hereby amended to read as follows:
645E.670 1. For
each violation committed by an applicant, whether or not he is issued a
license, the Commissioner may impose upon the applicant an administrative fine
of not more than $10,000, if the applicant:
(a) Has
knowingly made or caused to be made to the Commissioner any false
representation of material fact;
(b) Has
suppressed or withheld from the Commissioner any information which the
applicant possesses and which, if submitted by him, would have rendered the
applicant ineligible to be licensed pursuant to the provisions of this chapter;
or
(c) Has
violated any provision of this chapter, a regulation adopted pursuant to this
chapter or an order of the Commissioner in completing and filing his
application for a license or during the course of the investigation of his
application for a license.
2. For each violation committed by a licensee,
the Commissioner may impose upon the licensee an administrative fine of not
more than $10,000, may suspend, revoke or place conditions upon his license, or
may do both, if the licensee, whether or not acting as such:
(a) Is
insolvent;
(b) Is
grossly negligent or incompetent in performing any act for which he is required
to be licensed pursuant to the provisions of this chapter;
(c) Does
not conduct his business in accordance with law or has violated any provision
of this chapter, a regulation adopted pursuant to this chapter or an order of
the Commissioner;
(d) Is in
such financial condition that he cannot continue in business with safety to his
customers;
(e) Has
made a material misrepresentation in connection with any transaction governed
by this chapter;
(f) Has
suppressed or withheld from a client any material facts, data or other
information relating to any transaction governed by the provisions of this
chapter which the licensee knew or, by the exercise of reasonable diligence,
should have known;
(g) Has
knowingly made or caused to be made to the Commissioner any false
representation of material fact or has suppressed or withheld from the
Commissioner any information which the licensee possesses and which, if
submitted by him, would have rendered the licensee ineligible to be licensed
pursuant to the provisions of this chapter;
(h) Has
failed to account to persons interested for all money received for a trust
account;
(i) Has
refused to permit an examination by the Commissioner of his books and affairs
or has refused or failed, within a reasonable time, to furnish any information
or make any report that may be required by the Commissioner pursuant to the
provisions of this chapter or a regulation adopted pursuant to this chapter;
(j) Has
been convicted of, or entered a plea of nolo contendere to, a felony relating to the practice of mortgage companies
or any crime involving fraud, misrepresentation or moral turpitude;
(k) Has
refused or failed to pay, within a reasonable time, any fees, assessments,
costs or expenses that the licensee is required to pay pursuant to this chapter
or a regulation adopted pursuant to this chapter;
(l) Has
failed to satisfy a claim made by a client which has been reduced to judgment;
(m) Has
failed to account for or to remit any money of a client within a reasonable
time after a request for an accounting or remittal;
(n) Has
commingled the money or other property of a client with his own or has
converted the money or property of others to his own use; or
(o) Has
engaged in any other conduct constituting a deceitful, fraudulent or dishonest
business practice.
Sec. 61. NRS 648.110 is hereby amended to read
as follows:
648.110 1. Before
the Board grants any license, the applicant, including each director and
officer of a corporate applicant, must:
(a) Be at
least 21 years of age.
(b) Be a
citizen of the United States or lawfully entitled to remain and work in the
United States.
(c) Be of
good moral character and temperate habits.
(d) Have no
conviction of [a] :
(1) A felony relating to the practice for which the applicant wishes to be licensed;
or [a]
(2) Any crime involving moral turpitude
or the illegal use or possession of a dangerous weapon.
2. Each applicant, or the qualifying agent of a
corporate applicant, must:
(a) If an
applicant for a private investigator’s license, have at least 5 years’ experience
as an investigator, or the equivalent thereof, as determined by the Board.
(b) If an
applicant for a repossessor’s license, have at least 5 years’ experience as a
repossessor, or the equivalent thereof, as determined by the Board.
(c) If an
applicant for a private patrolman’s license, have at least 5 years’ experience
as a private patrolman, or the equivalent thereof, as determined by the Board.
(d) If an
applicant for a process server’s license, have at least 2 years’ experience as
a process server, or the equivalent thereof, as determined by the Board.
(e) If an
applicant for a dog handler’s license, demonstrate to the satisfaction of the
Board his ability to handle, supply and train watchdogs.
(f) If an
applicant for a license as an intern, have:
(1) Received:
(I)
A baccalaureate degree from an accredited college or university and have at
least 1 year’s experience in investigation or polygraphic examination
satisfactory to the Board;
(II)
An associate degree from an accredited college or university and have at least
3 years’ experience; or
(III)
A high school diploma or its equivalent and have at least 5 years’ experience;
and
(2) Satisfactorily
completed a basic course of instruction in polygraphic techniques satisfactory
to the Board.
(g) If an
applicant for a license as a polygraphic examiner:
(1) Meet
the requirements contained in paragraph (f);
(2) Have
actively conducted polygraphic examinations for at least 2 years;
(3) Have
completed successfully at least 250 polygraphic examinations, including at
least 100 examinations concerning specific inquiries as distinguished from
general examinations for the purpose of screening;
(4) Have
completed successfully at least 50 polygraphic examinations, including
10 examinations concerning specific inquiries, during the 12 months
immediately before the date of his application; and
(5) Have
completed successfully at least 24 hours of advanced polygraphic training
acceptable to the Board during the 2 years immediately before the date of his
application.
(h) Meet
other requirements as determined by the Board.
3. The Board, when satisfied from
recommendations and investigation that the applicant is of good character,
competency and integrity, may issue and deliver a license to the applicant
entitling him to conduct the business for which he is licensed, for the period
which ends on July 1 next following the date of issuance.
4. For the purposes of this section, 1 year of
experience consists of 2,000 hours of experience.
Sec. 62. NRS 648.150 is
hereby amended to read as follows:
648.150 The Board may discipline any licensee for any
of the following causes:
1. Conviction of a felony relating to the practice of the licensee or of any offense
involving moral turpitude.
2. Violation of any of the provisions of this
chapter or of a regulation adopted pursuant thereto.
3. A false statement by the licensee that any
person is or has been in his employ.
4. Any unprofessional conduct or unfitness of
the licensee or any person in his employ.
5. Any false statement or the giving of any
false information in connection with an application for a license or a renewal
or reinstatement of a license.
6. Any act in the course of the licensee’s
business constituting dishonesty or fraud.
7. Impersonation or aiding and abetting an
employee in the impersonation of a law enforcement officer or employee of the
United States of America, or of any state or political subdivision thereof.
8. During the period between the expiration of a
license for the failure to renew within the time fixed by this chapter and the
reinstatement of the license, the commission of any act which would be a cause
for the suspension or revocation of a license, or grounds for the denial of an
application for a license.
9. Willful failure or refusal to render to a
client services or a report as agreed between the parties and for which
compensation has been paid or tendered in accordance with the agreement of the
parties.
10. Commission of assault, battery or kidnapping.
11. Knowing violation of any court order or
injunction in the course of business as a licensee.
12. Any act which is a ground for denial of an
application for a license under this chapter.
13. Willfully aiding or abetting a person in a
violation of a provision of this chapter or a regulation adopted pursuant
thereto.
Sec. 63. NRS 649.085 is hereby amended to read as
follows:
649.085 Every individual applicant, every officer and
director of a corporate applicant, and every member of a firm or partnership
applicant for a license as a collection agency or collection agent must submit
proof satisfactory to the Commissioner that he:
1. Is a citizen of the United States or lawfully
entitled to remain and work in the United States.
2. Has a good reputation for honesty,
trustworthiness, integrity and is competent to transact the business of a
collection agency in a manner which protects the interests of the general
public.
3. Has not had a collection agency license
suspended or revoked within the 10 years immediately preceding the date of the
application.
4. Has not been convicted of, or entered a plea
of nolo contendere to [, a] :
(a) A felony relating to the practice of collection agencies or collection agents; or
[any]
(b) Any crime involving fraud,
misrepresentation or moral turpitude.
5. Has not made a false statement of material
fact on his application.
6. Will maintain one or more offices in this
state for the transaction of the business of his collection agency.
7. Has established a plan to ensure that his
collection agency will provide the services of a collection agency adequately
and efficiently.
Sec. 64. NRS 652.220 is
hereby amended to read as follows:
652.220 A license may be denied, suspended or revoked
if the laboratory, laboratory director or any technical employee of the
laboratory:
1. Violates any provision of this chapter;
2. Makes any misrepresentation in obtaining a
license;
3. Has been convicted of a felony [;] relating to the position for which the applicant has applied or the
licensee has been licensed pursuant to this chapter;
4. Has been convicted of violating any of the
provisions of NRS 616D.200, 616D.220, 616D.240 or 616D.300 to 616D.440,
inclusive;
5. Is guilty of unprofessional conduct;
6. Knowingly permits the use of the name of a
licensed laboratory or its director by an unlicensed laboratory; or
7. Fails to meet the minimum standards
prescribed by the Board.
Sec. 65. NRS 654.190 is
hereby amended to read as follows:
654.190 1. The
Board may, after notice and hearing, impose an administrative fine of not more
than $2,500 on and suspend or revoke the license of any nursing facility
administrator or administrator of a residential facility for groups who:
(a) Is
convicted of a felony [,] relating to the practice of administering a
nursing facility or residential facility or of any offense involving moral
turpitude.
(b) Has
obtained his license by the use of fraud or deceit.
(c) Violates
any of the provisions of this chapter.
(d) Aids or
abets any person in the violation of any of the provisions of NRS 449.001 to
449.240, inclusive, as those provisions pertain to a facility for skilled
nursing, facility for intermediate care or residential facility for groups.
(e) Violates
any regulation of the Board prescribing additional standards of conduct for
nursing facility administrators or administrators of residential facilities for
groups.
2. The Board shall give a licensee against whom
proceedings are brought pursuant to this section written notice of a hearing
not less than 10 days before the date of the hearing.
3. If discipline is imposed pursuant to this
section, the costs of the proceeding, including investigative costs and
attorney’s fees, may be recovered by the Board.
Sec. 66. NRS 656.240 is hereby amended to read
as follows:
656.240 The Board may refuse to issue or to renew or
may suspend or revoke any certificate for any one or a combination of the
following causes:
1. If the applicant or court reporter has by
false representation obtained or sought to obtain a certificate for himself or
any other person.
2. If the applicant or court reporter has been
found in contempt of court, arising out of his conduct in performing or
attempting to perform any act as a court reporter.
3. If the applicant or court reporter has been
convicted of a crime related to the qualifications, functions and
responsibilities of a certified court reporter.
4. If the applicant or court reporter has been
convicted of [a felony or gross misdemeanor or of] any offense involving
moral turpitude.
The judgment of conviction or a certified copy of
the judgment is conclusive evidence of conviction of an offense.
Sec. 67. NRS 676.290 is
hereby amended to read as follows:
676.290 1. The
Commissioner may, pursuant to the procedure provided in this chapter, deny,
suspend or revoke any license for which application has been made or which has
been issued under the provisions of this chapter if he finds, as to the
licensee, its associates, directors or officers, grounds for action.
2. Any one of the following grounds may provide
the requisite grounds for denial, suspension or revocation:
(a) Conviction
of a felony relating to the practice of
debt adjusters or of a misdemeanor involving moral turpitude.
(b) Violation
of any of the provisions of this chapter or regulations of the Commissioner.
(c) Fraud
or deceit in procuring the issuance of the license.
(d) Continuous
course of unfair conduct.
(e) Insolvency,
filing in bankruptcy, receivership or assigning for the benefit of creditors by
any licensee or applicant for a license under this chapter.
(f) Failure
to pay the fee for renewal or reinstatement of a license.
3. The Commissioner shall, after notice and
hearing, impose upon the licensee a fine of $500 for each violation by the
licensee of any of the provisions of this chapter or regulations of the
Commissioner. If a fine is imposed pursuant to this section, the costs of the
proceeding, including investigative costs and attorney’s fees, may be recovered
by the Commissioner.
Sec. 68. NRS 692A.105 is
hereby amended to read as follows:
692A.105 1. The
Commissioner may refuse to license any title agent or escrow officer or may
suspend or revoke any license or impose a fine of not more than $500 for each
violation by entering an order to that effect, with his findings in respect
thereto, if upon a hearing, it is determined that the applicant or licensee:
(a) In the
case of a title agent, is insolvent or in such a financial condition that he
cannot continue in business with safety to his customers;
(b) Has
violated any provision of this chapter or any regulation adopted pursuant
thereto or has aided and abetted another to do so;
(c) Has
committed fraud in connection with any transaction governed by this chapter;
(d) Has
intentionally or knowingly made any misrepresentation or false statement to, or
concealed any essential or material fact known to him from, any principal or
designated agent of the principal in the course of the escrow business;
(e) Has
intentionally or knowingly made or caused to be made to the Commissioner any
false representation of a material fact or has suppressed or withheld from him
any information which the applicant or licensee possesses;
(f) Has
failed without reasonable cause to furnish to the parties of an escrow their
respective statements of the settlement within a reasonable time after the
close of escrow;
(g) Has
failed without reasonable cause to deliver, within a reasonable time after the
close of escrow, to the respective parties of an escrow transaction any money,
documents or other properties held in escrow in violation of the provisions of
the escrow instructions;
(h) Has
refused to permit an examination by the Commissioner of his books and affairs
or has refused or failed, within a reasonable time, to furnish any information
or make any report that may be required by the Commissioner pursuant to the
provisions of this chapter;
(i) Has
been convicted of a felony relating to
the practice of title agents or any misdemeanor of which an essential
element is fraud;
(j) In the
case of a title agent, has failed to maintain complete and accurate records of
all transactions within the last 7 years;
(k) Has
commingled the money of other persons with his own or converted the money of
other persons to his own use;
(l) Has
failed, before the close of escrow, to obtain written instructions concerning
any essential or material fact or intentionally failed to follow the written
instructions which have been agreed upon by the parties and accepted by the
holder of the escrow;
(m) Has
failed to disclose in writing that he is acting in the dual capacity of escrow
agent or agency and undisclosed principal in any transaction;
(n) In the
case of an escrow officer, has been convicted of, or entered a plea of guilty
or nolo‑contendere to, any crime involving moral turpitude; or
(o) Has
failed to obtain and maintain a copy of the executed agreement or contract that
establishes the conditions for the sale of real property.
2. It is sufficient cause for the imposition of
a fine or the refusal, suspension or revocation of the license of a
partnership, corporation or any other association if any member of the
partnership or any officer or director of the corporation or association has
been guilty of any act or omission directly arising from the business
activities of a title agent which would be cause for such action had the
applicant or licensee been a natural person.
3. The Commissioner may suspend or revoke the
license of a title agent, or impose a fine, if the Commissioner finds that the
title agent:
(a) Failed
to maintain adequate supervision of an escrow officer title agent he has
appointed or employed.
(b) Instructed
an escrow officer to commit an act which would be cause for the revocation of
the escrow officer’s license and the escrow officer committed the act. An
escrow officer is not subject to disciplinary action for committing such an act
under instruction by the title agent.
4. The Commissioner may refuse to issue a
license to any person who, within 10 years before the date of applying for a
current license, has had suspended or revoked a license issued pursuant to this
chapter or a comparable license issued by any other state, district or
territory of the United States or any foreign country.
Sec. 69. NRS 706.8841 is hereby amended to read as
follows:
706.8841 1. The
Administrator shall issue a driver’s permit to qualified persons who wish to be
employed by certificate holders as taxicab drivers. Before issuing a driver’s
permit, the Administrator shall:
(a) Require
the applicant to submit a set of his fingerprints, which must be forwarded to
the Federal Bureau of Investigation to ascertain whether the applicant has a
criminal record and the nature of any such record, and shall further
investigate the applicant’s background; and
(b) Require
proof that the applicant:
(1) Has
been a resident of the State for 30 days before his application for a permit;
(2) Can
read and orally communicate in the English language; and
(3) Has
a valid license issued under NRS 483.325 which authorizes him to drive a
taxicab in this state.
2. The Administrator may refuse to issue a
driver’s permit if the applicant has been convicted of:
(a) A
felony [, other than a felony
involving any sexual offense,] relating
to the practice of taxicab drivers in this state or any other jurisdiction [within
5 years] at any time before the
date of the application;
(b) A
felony involving any sexual offense in this state or any other jurisdiction at
any time before the date of the application; or
(c) A
violation of NRS 484.379 or 484.3795 or a law of any other jurisdiction that
prohibits the same or similar conduct within 3 years before the date of the application.
3. The Administrator may refuse to issue a
driver’s permit if the Administrator, after the background investigation of the
applicant, determines that the applicant is morally unfit or if the issuance of
the driver’s permit would be detrimental to public health, welfare or safety.
4. A taxicab driver shall pay to the
Administrator, in advance, $20 for an original driver’s permit and $5 for a
renewal.
Sec. 70. NRS 176A.860 is
hereby repealed.
Sec. 71. 1. Any
person residing in this state who, before July 1, 2003, was:
(a) Honorably discharged from probation pursuant to NRS 176A.850;
(b) Pardoned pursuant to NRS 213.090;
(c) Honorably discharged from parole pursuant to NRS 213.154 and
213.155; or
(d) Released from prison pursuant to NRS 213.157,
in this state or elsewhere,
who is not on probation or parole or serving a sentence of imprisonment on July
1, 2003, and who has not had his civil rights restored is hereby restored to
the civil rights set forth in subsection 2.
2. A person listed in
subsection 1:
(a) Is
immediately restored to the following civil rights:
(1) The right to vote; and
(2) The right to serve as a juror in a civil action.
(b) Four years after the date on which he is released from his
sentence of imprisonment, is restored to the right to hold office.
(c) Six years after the date on which he is released from his
sentence of imprisonment, is restored to the right to serve as a juror in a
criminal action.
3. A person who is restored to his civil rights
pursuant to this section and whose official documentation which demonstrates
that the person qualifies to have his civil rights restored pursuant to
subsection 1 is lost, damaged or destroyed may file a written request with a
court of competent jurisdiction to restore his civil rights pursuant to this
section. Upon verification that the person qualifies to have his civil rights
restored pursuant to subsection 1, the court shall issue an order restoring the
person to the civil rights set forth in subsection 2. A person must not be
required to pay a fee to receive such an order.
4. A person who is
restored to his civil rights pursuant to this section may present official
documentation that he qualifies to have his civil rights restored pursuant to
subsection 1 or a court order restoring his civil rights as proof that he has
been restored to the civil rights set forth in subsection 2.
Sec. 72. The provisions of subsection 1 of NRS 354.599
do not apply to any additional expenses of a local government that are related
to the provisions of this act.
Sec. 73. 1. This section and sections 1 to 53, inclusive, and 55 to 72,
inclusive, of this act become effective on July 1, 2003.
2. Section 53 of this act
expires by limitation on the date on which the provisions of 42 U.S.C. §
666 requiring each state to establish procedures under which the state has
authority to withhold or suspend, or to restrict the use of professional,
occupational and recreational licenses of persons who:
(a) Have failed to comply with a subpoena or warrant relating to
a proceeding to determine the paternity of a child or to establish or enforce
an obligation for the support of a child; or
(b) Are in arrears in the payment for support of one or more
children,
are repealed by the Congress
of the United States.
3. Section 54 of this act
becomes effective on the date on which the provisions of 42 U.S.C. § 666
requiring each state to establish procedures under which the state has
authority to withhold or suspend, or to restrict the use of professional, occupational
and recreational licenses of persons who:
(a) Have failed to comply with a subpoena or warrant relating to
a proceeding to determine the paternity of a child or to establish or enforce
an obligation for the support of a child; or
(b) Are in arrears in the payment for support of one or more
children,
are repealed by the Congress
of the United States.
TEXT
OF REPEALED SECTION
176A.860 Procedure for
applying for restoration of civil rights after honorable discharge.
1. If a person is granted
an honorable discharge from probation, not sooner than 6 months after his
honorable discharge, the person may apply to the Division to request a
restoration of his civil rights if the person:
(a) Has not previously been restored to his civil rights; and
(b) Has not been convicted of any offense greater than a traffic
violation after his honorable discharge.
2. If a person applies to
the Division to request a restoration of his civil rights, the person must
submit with his application a current, certified record of his criminal history
received from the Central Repository for Nevada Records of Criminal History. If
the Division determines after an investigation that the person meets the
requirements of this section, the Division shall petition the court in which
the person was convicted for an order granting the restoration of his civil
rights. If the Division refuses to submit such a petition, the person may,
after notice to the Division, directly petition the court for an order granting
the restoration of his civil rights.”.
Amend the title of the bill to read as follows:
“AN ACT relating to convicted persons; expanding the crimes for
which a defendant is required to submit a biological specimen when he is found
guilty; providing for the immediate restoration of the civil right to vote and
to sit as a juror in a civil action and for the automatic restoration of
certain other civil rights of certain ex-felons on specified future dates;
providing for the automatic restoration of the civil rights of a person whose
records of conviction are sealed; limiting the persons who are required to
register as convicted persons; prohibiting a law enforcement agency from
requiring a convicted person to carry a registration card; revising the
provisions governing the employment of certain convicted felons; revising the
provisions governing the certification and licensure of certain convicted
felons in certain professions and occupations; and providing other matters
properly relating thereto.”.
Amend the summary of the bill to read as follows:
“SUMMARY—Makes various changes concerning persons convicted of
certain crimes. (BDR 14‑330)”.
Dennis Nolan |
Marcus Conklin |
Maurice E. Washington |
John C. Carpenter |
Valerie Wiener |
Jerry D. Claborn |
Senate Conference Committee |
Assembly Conference
Committee |
Senator Nolan moved that the Senate adopt the report of the first Conference Committee concerning Assembly Bill No. 55.
Remarks by Senator Nolan.
Motion carried by a constitutional majority.
Madam President announced that if there were no objections, the Senate would recess subject to the call of the Chair.
Senate in recess at 12:20 p.m.
SENATE IN SESSION
At 12:43 p.m.
President Hunt presiding.
Quorum present.
GENERAL FILE AND THIRD READING
Senate Bill No. 184.
Bill read third time.
Roll call on Senate Bill No. 184:
Yeas—20.
Nays—None.
Absent—Washington.
Senate Bill No. 184 having received a constitutional majority, Madam President declared it passed, as amended.
Bill ordered transmitted to the Assembly.
Assembly Bill No. 533.
Bill read third time.
Roll call on Assembly Bill No. 533:
Yeas—20.
Nays—None.
Not Voting—Raggio.
Assembly Bill No. 533 having received a constitutional majority, Madam President declared it passed, as amended.
Bill ordered transmitted to the Assembly.
UNFINISHED
BUSINESS
Appointment of Conference Committees
Madam President appointed Senators Cegavske, Titus and Rawson as a first Conference Committee to meet with a like committee of the Assembly for the further consideration of Senate Bill No. 137.
Reports
of Conference Committees
Madam
President:
The
first Conference Committee concerning Senate Bill No. 46, consisting of the
undersigned members, has met and reports that:
It
has agreed to recommend that the amendment of the Assembly be concurred in.
Raymond D. Rawson |
Chris Giunchigliani |
Dean A. Rhoads |
Sheila Leslie |
Bob Coffin |
Lynn Hettrick |
Senate Conference Committee |
Assembly Conference
Committee |
Senator Rawson moved that the Senate adopt the report of the first Conference Committee concerning Senate Bill No. 46.
Remarks by Senator Rawson.
Motion carried by a constitutional majority.
Madam
President:
The
first Conference Committee concerning Senate Bill No. 229, consisting of the
undersigned members, has met and reports that:
It
has agreed to recommend that the amendment of the Assembly be concurred in.
It
has agreed to recommend that the bill be further amended as set forth in
Conference Amendment No. 28, which is attached to and hereby made a part of
this report.
Conference
Amendment.
Amend section 1, page 2, by deleting lines 13 and 14 and
inserting:
“3. The requirements of this section do not apply
to a proceeding in which the legal rights, duties or privileges of a party are
required by law to be determined by a state or local governmental agency after
an opportunity for hearing, or in which an administrative penalty may be
imposed.”.
Amend sec. 2, pages 4 and 5, by deleting lines 40 through 44 on
page 4 and lines 1 and 2 on page 5, and inserting:
“(2) If feasible for the public body and the requester has
agreed to receive the public notice by electronic mail, transmitted to the
requester by electronic mail sent not later than 9 a.m. of the third
working day before the meeting.”.
Amend sec. 4.5, page 8, by deleting line 29 and inserting:
“1. A meeting or”.
Amend sec. 4.5, page 8, between lines 34 and 35, by inserting:
“2. A meeting held pursuant to NRS 213.130 or any
other meeting or hearing that may result in a recommendation or final decision
to grant, deny, continue or revoke the parole of a prisoner, and a meeting or
hearing to commute a sentence, restore a person’s civil rights, grant a pardon
or reprieve or remit a fine or forfeiture, must be open to the public.”.
Amend the bill as a whole by adding a new section designated sec.
4.7, following sec. 4.5, to read as follows:
“Sec. 4.7. NRS 213.130 is
hereby amended to read as follows:
213.130 1. The Department of Corrections shall:
(a) Determine when a prisoner sentenced to imprisonment in the
state prison is eligible to be considered for parole;
(b) Notify the State Board of Parole Commissioners of the
eligibility of the prisoner to be considered for parole; and
(c) Before a meeting to consider the prisoner for parole, compile
and provide to the Board data that will assist the Board in determining whether
parole should be granted.
2. If a prisoner is being
considered for parole from a sentence imposed for conviction of a crime which
involved the use of force or violence against a victim and which resulted in
bodily harm to a victim and if original or duplicate photographs that depict the
injuries of the victim or the scene of the crime were admitted at the trial of
the prisoner or were part of the report of the presentence investigation and
are reasonably available, a representative sample of such photographs must be
included with the information submitted to the Board at the meeting. A prisoner
may not bring a cause of action against the State of Nevada, its political
subdivisions, agencies, boards, commissions, departments, officers or employees
for any action that is taken pursuant to this subsection or for failing to take
any action pursuant to this subsection, including, without limitation, failing
to include photographs or including only certain photographs. As used in this
subsection, “photograph” includes any video, digital or other photographic
image.
3. Meetings to consider
prisoners for parole may be held semiannually or more often, on such dates as
may be fixed by the Board. [All meetings must be open to the public.]
4. Not later than 5 days
after the date on which the Board fixes the date of the meeting to consider a
prisoner for parole, the Board shall notify the victim of the prisoner who is
being considered for parole of the date of the meeting and of his rights
pursuant to this subsection, if the victim has requested notification in
writing and has provided his current address or if the victim’s current address
is otherwise known by the Board. The victim of a prisoner being considered for
parole may submit documents to the Board and may testify at the meeting held to
consider the prisoner for parole. A prisoner must not be considered for parole
until the Board has notified any victim of his rights pursuant to this
subsection and he is given the opportunity to exercise those rights. If a
current address is not provided to or otherwise known by the Board, the Board
must not be held responsible if such notification is not received by the
victim.
5. The Board may
deliberate in private after a public meeting held to consider a prisoner for
parole.
6. The Board of State
Prison Commissioners shall provide suitable and convenient rooms or space for
use of the Board.
7. If a victim is
notified of a meeting to consider a prisoner for parole pursuant to
subsection 4, the Board shall, upon making a final decision concerning the
parole of the prisoner, notify the victim of its final decision.
8. All personal
information, including, but not limited to, a current or former address, which
pertains to a victim and which is received by the Board pursuant to this
section is confidential.
9. For the purposes of
this section, “victim” has the meaning ascribed to it in NRS 213.005.”.
Amend the title of the bill to read as follows:
“AN ACT relating to public bodies; prohibiting certain public bodies
from voting on an item on the agenda until public comment has been allowed on
the item under certain circumstances; revising provisions governing notice of
meetings of public bodies; requiring certain public bodies to post the minutes
of a public meeting on the Internet; requiring certain public bodies to make
and retain an audio recording of a public meeting; providing that certain
meetings and hearings regarding prisoners and persons on parole or probation
are not subject to the open meeting law but must be open to the public;
requiring that a member of certain agencies be present at a workshop of the
agency concerning a proposed regulation of the agency, if practicable;
authorizing a board of trustees of a general improvement district to increase
the compensation of the trustees under certain circumstances; authorizing the
board of trustees of a general improvement district to adopt and enforce
regulations regarding the date on which a charge for services provided by the
district becomes delinquent; making certain changes regarding the merger,
consolidation or dissolution of certain general improvement districts; and
providing other matters properly relating thereto.”.
Ann O'Connell |
|
Terry Care |
Tom Collins |
Sandra Tiffany |
Joe Hardy |
Senate Conference Committee |
Assembly Conference
Committee |
Senator O'Connell moved that the Senate adopt the report of the first Conference Committee concerning Senate Bill No. 229.
Remarks by Senator O'Connell.
Motion carried by a constitutional majority.
Senator Raggio moved that the Senate recess until 4 p.m.
Motion carried.
Senate in recess at 12:53 p.m.
SENATE IN SESSION
At 5:32 p.m.
President Hunt presiding.
Quorum present.
REPORTS
OF COMMITTEES
Madam
President:
Your
Committee on Finance, to which were referred Senate Bills Nos. 505, 506;
Assembly Bill No. 240, has had the same under consideration, and begs leave to
report the same back with the recommendation: Do pass.
Also,
your Committee on Finance, to which was re-referred Assembly Bill No. 284, has
had the same under consideration, and begs leave to report the same back with
the recommendation: Do pass, as amended.
William J. Raggio, Chairman
GENERAL FILE AND THIRD READING
Senate Bill No. 505.
Bill read third time.
Remarks by Senator Raggio.
Roll call on Senate Bill No. 505:
Yeas—17.
Nays—Carlton, Cegavske, O'Connell, Tiffany—4.
Senate Bill No. 505 having received a constitutional majority, Madam President declared it passed.
Bill ordered transmitted to the Assembly.
Senate Bill No. 506.
Bill read third time.
Roll call on Senate Bill No. 506:
Yeas—21.
Nays—None.
Senate Bill No. 506 having received a constitutional majority, Madam President declared it passed.
Bill ordered transmitted to the Assembly.
Assembly Bill No. 240.
Bill read third time.
Remarks by Senators Neal and Raggio.
Roll call on Assembly Bill No. 240:
Yeas—19.
Nays—O'Connell, Tiffany—2.
Assembly Bill No. 240 having received a constitutional majority, Madam President declared it passed.
Bill ordered transmitted to the Assembly.
Assembly Bill No. 284.
Bill read third time.
Roll call on Assembly Bill No. 284:
Yeas—21.
Nays—None.
Assembly Bill No. 284 having received a constitutional majority, Madam President declared it passed, as amended.
Bill ordered transmitted to the Assembly.
UNFINISHED BUSINESS
Consideration
of Assembly Amendments
Senate Concurrent Resolution No. 13.
The following Assembly amendment was read:
Amendment No. 962.
Amend the resolution, page 3, by deleting lines 16 and 17.
Amend the resolution, page 3, line 18, by deleting “2.” and inserting “1.”.
Amend the resolution, page 3, by deleting lines 22 through 25.
Amend the resolution, page 3, line 26, by deleting “5.” and inserting “2.”.
Amend the resolution, page 3, by deleting lines 29 and 30.
Amend the resolution, page 3, line 31, by deleting “7.” and inserting “3.”.
Amend the resolution, page 3, line 34, by deleting “8.” and inserting “4.”.
Amend the resolution, page 3, by deleting lines 37 through 40.
Amend the resolution, page 3, line 41, by deleting “10.” and inserting “5.”.
Amend the resolution, page 3, line 43, by deleting “11.” and inserting “6.”.
Senator Washington moved that the Senate concur in the Assembly amendment to Senate Concurrent Resolution No. 13.
Remarks by Senator Washington.
Motion carried.
Resolution ordered enrolled.
Reports
of Conference Committees
Madam
President:
The
first Conference Committee concerning Senate Bill No. 143, consisting of the
undersigned members, has met and reports that:
It
has agreed to recommend that the amendment of the Assembly be concurred in.
Randolph J. Townsend |
Kelvin Atkinson |
Sandra Tiffany |
Bob McCleary |
Dina Titus |
Tom Grady |
Senate Conference Committee |
Assembly Conference Committee |
Senator Townsend moved that the Senate adopt the report of the first Conference Committee concerning Senate Bill No. 143.
Remarks by Senator Townsend.
Motion carried by a constitutional majority.
Madam
President:
The
first Conference Committee concerning Senate Bill No. 147, consisting of the
undersigned members, has met and reports that:
It
has agreed to recommend that the bill be further amended as set forth in
Conference Amendment No. 33, which is attached to and hereby made a part of
this report.
Conference Amendment.
Amend sec. 1.7, page 2, line 36, by deleting “March 31” and inserting “January 15”.
Amend the bill as a whole by deleting sec. 2.5 and adding:
“Sec. 2.5. (Deleted by
amendment.)”.
Amend sec. 3, page 4, lines 9 and 10, by deleting: “281.511 . [, 294A.345 or 294A.346.]” and
inserting: “281.511, 294A.345 or 294A.346.”.
Amend the bill as a whole by deleting sec. 3.3 and adding:
“Sec. 3.3. (Deleted by
amendment.)”.
Amend sec. 4, page 7, by deleting lines 8 and 9 and inserting:
“6. Except as otherwise
provided in this subsection, upon such a petition, the court shall enter an
order directing the”.
Amend sec. 4, page 7, lines 14 through 19, by deleting the
brackets and strike-through.
Amend the bill as a whole by deleting sec. 7.5 and adding:
“Sec. 7.5. (Deleted by
amendment.)”.
Amend sec. 8, page 16, lines 25 through 32, by deleting the
brackets and strike-through.
Amend sec. 8, page 17, line 3, by deleting “[6.] 5.” and inserting “6.”.
Amend sec. 8, page 17, line 15, by deleting “[7.] 6.” and inserting “7.”.
Amend sec. 8, page 17, line 20, by deleting “[8.] 7.” and inserting “8.”.
Amend sec. 8, page 17, by deleting lines 29 and 30 and inserting:
“9. The imposition of a
civil penalty pursuant to subsections 1 to 4, inclusive, is a final”.
Amend sec. 8, page 17, line 32, by deleting “[10. In” and inserting “10. [In”.
Amend sec. 8, page 18, line 7, by deleting “9.”.
Amend sec. 8.7, page 18, line 43, by deleting “March 31” and
inserting: “[March 31]
January 15”.
Amend the bill as a whole by deleting sec. 11.5 and adding:
“Sec. 11.5. (Deleted by amendment.)”.
Amend sec. 12, page 21, by deleting lines 25 and 26 and
inserting:
“Sec. 12. NRS 281.437 and 281.525 are hereby
repealed.”.
Amend the bill as a whole by deleting the leadlines of repealed
sections and adding the text of repealed sections, to read as follows:
TEXT
OF REPEALED SECTION
281.437 “Vexatious”
defined. “Vexatious” means lacking
justification and intended to harass.
281.525 Use of false or
misleading statement regarding opinion of Commission; penalty.
1. It is unlawful for any
person to make, use, publish or disseminate any statement which is known or
through the exercise of reasonable care should be known to be false, deceptive
or misleading in order to induce the Commission to render an opinion or to take
any action related to the rendering of an opinion.
2. Any person who
knowingly violates the provisions of subsection 1 is guilty of a misdemeanor.
3. The Commission shall
inform the Attorney General or the district attorney of any case involving a
violation of subsection 1.”.
Amend the title of the bill by deleting the twentieth through
twenty-third lines on page 1 and the first through fourth lines on page 2, and
inserting:
“thereto; and providing other
matters properly relating thereto.”.
Randolph J. Townsend |
Bernie Anderson |
William J. Raggio |
Bob McCleary |
Terry Care |
Bob Beers |
Senate Conference Committee |
Assembly Conference Committee |
Senator Townsend moved that the Senate adopt the report of the first Conference Committee concerning Senate Bill No. 147.
Remarks by Senator Townsend.
Motion carried by a constitutional majority.
Madam
President:
The first
Conference Committee concerning Senate Bill No. 319, consisting of the
undersigned members, has met and reports that:
It
has agreed to recommend that the amendments of the Assembly be concurred in.
It
has agreed to recommend that the bill be further amended as set forth in
Conference Amendment No. 27, which is attached to and hereby made a part of
this report.
Conference
Amendment.
Amend the bill as a whole by deleting
section 1 and adding:
“Section 1. (Deleted by amendment.)”.
Amend sec. 1.5, page 2, line 15, by deleting “11,” and inserting
“15,”.
Amend sec. 2, page 2, line 17, by deleting “11,” and inserting “15,”.
Amend sec. 5, page 2, line 33, after “policy;” by inserting “or”.
Amend sec. 5, page 2, line 34, by deleting “policy; or” and inserting “policy.”.
Amend sec. 5, page 2, by deleting lines 35 and 36.
Amend sec. 9, page 3, line 10, by deleting “11,” and inserting “15,”.
Amend sec. 10, page 3, by deleting lines 32 and 33 and inserting:
“unless the insurer does any one of the
following:
(a) Treats the applicant or
policyholder as otherwise approved by the Commissioner, after the insurer
presents to the Commissioner information indicating that such an absence or
inability relates to the risk for the insurer.
(b) Treats the applicant or
policyholder as if the applicant or policyholder had neutral credit
information, as defined by the insurer.
(c) Excludes the use of
credit information as a factor, and uses only underwriting criteria other than
credit information.”.
Amend sec. 10, page 3, line 36, after “a” by inserting “consumer”.
Amend sec. 10, page 3, line 42, after “months.” by inserting: “At
the time of the annual renewal of a policyholder’s policy, the insurer shall,
upon the request of the policyholder or the policyholder’s agent, reunderwrite
and rerate the policy based upon a current consumer credit report or insurance
score. An insurer need not, at the request of a policyholder or the
policyholder’s agent, recalculate the insurance score of or obtain an updated
consumer credit report of the policyholder more frequently than once in any
12-month period. An insurer may, at its discretion, obtain an updated consumer
credit report regarding a policyholder more frequently than once every 36
months, if to do so is consistent with the underwriting guidelines of the
insurer.”.
Amend sec. 10, page 3, line 44, by deleting “if:” and inserting: “if any
one of the following applies:”.
Amend sec. 10, page 4, line 4, after “insurer.” by inserting: “With
respect to such a policyholder, the insurer may elect to obtain an updated
consumer credit report if to do so is consistent with the underwriting
guidelines of the insurer.”.
Amend sec. 10, page 4, line 6, after “written.” by inserting: “The
fact that credit information was not used initially does not preclude an
insurer from using such information subsequently when underwriting or rating
such a policyholder upon renewal, if to do so is consistent with the
underwriting guidelines of the insurer.”.
Amend sec. 10, page 4, by deleting lines 28 through 30.
Amend the bill as a whole by deleting sec. 11, renumbering
sections 12 through 20 as sections 16 through 24 and adding new sections
designated sections 11 through 15, following sec. 10, to read as follows:
“Sec. 11. If
it is determined pursuant to the dispute resolution process set forth in
section 611(a) of the federal Fair Credit Reporting Act, 15 U.S.C. §
1681i(a), that the credit information of a policyholder was incorrect or
incomplete and if the insurer receives notice of such determination from either
the consumer reporting agency or from the policyholder, the insurer shall
reunderwrite and rerate the policyholder within 30 days of receiving the
notice. After reunderwriting or rerating the insured, the insurer shall make
any adjustments necessary, consistent with its underwriting and rating
guidelines. If an insurer determines that the policyholder has overpaid a
premium, the insurer shall refund to the policyholder the amount of overpayment
calculated back to the shorter of either the last 12 months of coverage or the
actual period of the policy.
Sec. 12. 1.
If an insurer uses credit information
in underwriting or rating an applicant, the insurer or its agent shall
disclose, either on the application for the policy or at the time the
application is taken, that the insurer may obtain credit information in
connection with the application. The disclosure must be written or provided to
an applicant in the same medium as the application. The insurer need not
provide the disclosure required pursuant to this section to a policyholder upon
renewal of a policy if the policyholder was previously provided the disclosure
in connection with the policy.
2. An insurer may comply with the requirements
of this section by providing the following statement:
In connection with this application for insurance, we may review your
credit report or obtain or use a credit-based insurance score based on the
information contained in that credit report. We may use a third party in
connection with the development of your insurance score.
Sec. 13. If
an insurer takes an adverse action based upon credit information, the insurer
shall:
1. Provide notice to the applicant or
policyholder that an adverse action has been taken, in accordance with the
requirements of section 615(a) of the federal Fair Credit Reporting Act,
15 U.S.C. § 1681m(a).
2. Provide notice to the applicant or
policyholder explaining the reasons for the adverse action. The reasons must be
provided in sufficiently clear and specific language so that a person can
identify the basis for the insurer’s decision to take the adverse action. The
notice must include a description of not more than four factors that were the
primary influences of the adverse action. The use of generalized terms such as
“poor credit history,” “poor credit rating” or “poor insurance score” does not
meet the requirements of this subsection. Standardized explanations provided by
consumer reporting agencies are deemed to comply with this section.
Sec. 14. 1.
An insurer shall indemnify, defend and
hold harmless an agent of the insurer from and against all liability, fees and
costs arising out of or relating to the actions, errors or omissions of the
agent with regard to obtaining or using credit information or insurance scores
for the insurer, if the agent follows the instructions of or procedures
established by the insurer and complies with any applicable law or regulation.
2. This section does not provide, expand, limit
or prohibit any cause of action an applicant or policyholder may have against
an agent of an insurer.
Sec. 15. 1.
A consumer reporting agency shall not
provide or sell data or lists that include any information that in whole or in
part was submitted in conjunction with:
(a) An inquiry by or for an
insurer about the credit information of an applicant or policyholder; or
(b) A request for a credit
report or insurance score.
2. The information described in subsection 1
includes, without limitation:
(a) The expiration date of
a policy or any other information that may identify time periods during which a
policy of an applicant or policyholder may expire; and
(b) The terms and
conditions of the coverage provided by a policy of an applicant or
policyholder.
3. The restriction set forth in subsection 1
does not apply to data or lists the consumer reporting agency supplies to the
insurer, or an agent or affiliate of the insurer, from whom the information was
received.
4. The provisions of this section do not
restrict any insurer from being able to obtain a report regarding a motor
vehicle or a report of a history of claims.”.
Amend sec. 18, page 9, line 25, by deleting: “as determined by” and inserting: “at the discretion of”.
Amend sec. 19, page 11, line 33, by deleting: “as determined by” and inserting: “at the discretion of”.
Amend the bill as a whole by adding new sections designated
sections 25 and 26, following sec. 20, to read as follows:
“Sec. 25. 1. On
or before December 31, 2004, the Commissioner of Insurance shall prepare a
report and submit the report to the Governor and the Legislature. The report
must address:
(a) The operation of sections 2 to 15, inclusive, of this act;
(b) The efficacy, necessity and desirability of using credit
information in making decisions related to insurance;
(c) The impacts upon the residents of Nevada of the continued use
of credit information in making decisions related to insurance; and
(d) Any additional consumer protections identified by the
Commissioner for the consideration of the Legislature.
2. As used in this
section, “credit information” has the meaning ascribed to it in section 7 of
this act.
Sec. 26. 1. This
section and sections 1 and 16 to 25, inclusive, of this act become effective on
October 1, 2003.
2. Sections 1.5 to 15,
inclusive, of this act become effective on July 1, 2004.”.
Amend the title of the bill to read as follows:
“AN ACT relating to insurance; restricting the use by an insurer of information
included in the consumer credit report of an applicant or policyholder as a
basis for making certain determinations and taking certain actions regarding
policies of insurance,
and providing for related procedures, duties, restrictions and exceptions;
revising the membership of certain boards; providing that any refund of an
assessment by the Division of Industrial Relations of the Department of
Business and Industry must include payment for interest earned; providing that
hearing officers and appeals officers shall designate the location of certain
hearings; requiring the Commissioner of Insurance to conduct a study relating
to the Investments of Insurers Model Act adopted by the National Association of
Insurance Commissioners; requiring the Commissioner to prepare and submit to the Governor and
the Legislature a report concerning
certain matters relating to the use of credit information in making decisions
related to insurance;
and providing other matters
properly relating thereto.”.
Senator Hardy moved that the Senate adopt the report of the first Conference Committee concerning Senate Bill No. 319.
Motion carried by a constitutional majority.
MOTIONS, RESOLUTIONS AND NOTICES
Senator O'Connell moved that Senate Bill No. 504 be taken from the General File for the next legislative day and placed on the General File for this legislative day.
Remarks by Senator O'Connell.
Motion carried.
GENERAL FILE AND THIRD READING
Senate Bill No. 504.
Bill read third time.
Remarks by Senators Raggio, Carlton and Rawson.
Roll call on Senate Bill No. 504:
Yeas—21.
Nays—None.
Senate Bill No. 504 having received a constitutional majority, Madam President declared it passed.
Bill ordered transmitted to the Assembly.
UNFINISHED BUSINESS
Signing
of Bills and Resolutions
There being no objections, the President and Secretary signed Senate Bills Nos. 221, 352, 464, 500; Assembly Bills Nos. 30, 32, 40, 132, 155, 257, 353, 355, 392, 498, 519, 521, 549.
Senator Raggio moved that the Senate adjourn until Monday, June 2, 2003, at 10 a.m.
Motion carried.
Senate adjourned at 6:01 p.m.
Approved: Lorraine T. Hunt
President
of the Senate
Attest: Claire J. Clift
Secretary of the Senate