Senate Bill No. 250–Senators Townsend and O’Connell
CHAPTER..........
AN ACT relating to regulated businesses and professions; enacting certain provisions that are applicable to all regulatory bodies that regulate occupations or professions in title 54 of NRS; providing that certain records of a regulatory body are public records; revising provisions relating to certain consent and settlement agreements; enacting provisions relating to attorney’s fees and costs; establishing and revising various powers and duties of the Board of Medical Examiners and the State Board of Osteopathic Medicine; making various changes regarding the licensure of certain physicians; making various changes regarding the practice of chiropractic; revising the provisions governing the filing and approval of rates of certain insurers; making various changes relating to policies of malpractice insurance; requiring the Commissioner of Insurance to perform certain duties relating to policies of malpractice insurance; providing penalties; and providing other matters properly relating thereto.
THE PEOPLE OF THE STATE OF NEVADA, REPRESENTED IN
SENATE AND ASSEMBLY, DO ENACT AS FOLLOWS:
Section 1. Chapter 622 of NRS is hereby amended by adding
thereto the provisions set forth as sections 2 to 11, inclusive, of this
act.
Sec. 2. As used in this chapter, unless the context otherwise
requires, the words and terms defined in sections 3, 4 and 5 of this
act have the meanings ascribed to them in those sections.
Sec. 3. “License” mean any license, certificate, registration,
permit or similar type of authorization issued by a regulatory body.
Sec. 4. “Licensee” means a person who holds any license,
certificate, registration, permit or similar type of authorization
issued by a regulatory body.
Sec. 5. “Regulatory body” means:
1. Any agency, board or commission which has the authority
to regulate an occupation or profession pursuant to this title; and
2. Any officer of an agency, board or commission which has
the authority to regulate an occupation or profession pursuant to
this title.
Sec. 6. In regulating an occupation or profession pursuant to
this title, each regulatory body shall carry out and enforce the
provisions of this title for the protection and benefit of the public.
Sec. 7. If any provision of this title requires a regulatory
body to disclose information to the public in any proceeding or as
part of any record, such a provision does not apply to any personal
medical information or records of a patient that are confidential
or otherwise protected from disclosure by any other provision of
federal or state law.
Sec. 8. 1. The provisions of NRS 241.020 do not apply to
proceedings relating to an investigation conducted to determine
whether to proceed with disciplinary action against a licensee,
unless the licensee requests that the proceedings be conducted
pursuant to those provisions.
2. If the regulatory body decides to proceed with disciplinary
action against the licensee, all proceedings that are conducted
after that decision and are related to that disciplinary action are
subject to the provisions of NRS 241.020.
Sec. 9. 1. Except as otherwise provided in this section, a
regulatory body may not enter into a consent or settlement
agreement with a person who has allegedly committed a violation
of any provision of this title which the regulatory body has the
authority to enforce, any regulation adopted pursuant thereto or
any order of the regulatory body, unless the regulatory body
discusses and approves the terms of the agreement in a public
meeting.
2. A regulatory body that consists of one natural person may
enter into a consent or settlement agreement without complying
with the provisions of subsection 1 if:
(a) The regulatory body posts notice in accordance with the
requirements for notice for a meeting held pursuant to chapter
241 of NRS and the notice states that:
(1) The regulatory body intends to resolve the alleged
violation by entering into a consent or settlement agreement with
the person who allegedly committed the violation; and
(2) For the limited time set forth in the notice, any person
may request that the regulatory body conduct a public meeting to
discuss the terms of the consent or settlement agreement by
submitting a written request for such a meeting to the regulatory
body within the time prescribed in the notice; and
(b) At the expiration of the time prescribed in the notice, the
regulatory body has not received any requests for a public meeting
regarding the consent or settlement agreement.
3. If a regulatory body enters into a consent or settlement
agreement that is subject to the provisions of this section, the
agreement is a public record.
4. The provisions of this section do not apply to a consent or
settlement agreement between a regulatory body and a licensee
that provides for the licensee to enter a diversionary program for
the treatment of alcohol, chemical or substance abuse or
dependency.
Sec. 10. 1. A regulatory body may recover from a person
reasonable attorney’s fees and costs that are incurred by the
regulatory body as part of its investigative, administrative and
disciplinary proceedings against the person if the regulatory body:
(a) Enters a final order in which it finds that the person has
violated any provision of this title which the regulatory body has
the authority to enforce, any regulation adopted pursuant thereto
or any order of the regulatory body; or
(b) Enters into a consent or settlement agreement in which the
regulatory body finds or the person admits or does not contest that
the person has violated any provision of this title which the
regulatory body has the authority to enforce, any regulation
adopted pursuant thereto or any order of the regulatory body.
2. As used in this section, “costs” means:
(a) Costs of an investigation.
(b) Costs for photocopies, facsimiles, long distance telephone
calls and postage and delivery.
(c) Fees for court reporters at any depositions or hearings.
(d) Fees for expert witnesses and other witnesses at any
depositions or hearings.
(e) Fees for necessary interpreters at any depositions or
hearings.
(f) Fees for service and delivery of process and subpoenas.
(g) Expenses for research, including, without limitation,
reasonable and necessary expenses for computerized services for
legal research.
Sec. 11. A court shall award to a regulatory body reasonable
attorney’s fees and reasonable costs specified in NRS 18.005 that
are incurred by the regulatory body to bring or defend in any
action if:
1. The action relates to the imposition or recovery of an
administrative or civil remedy or penalty, the enforcement of any
subpoena issued by the regulatory body or the enforcement of any
provision of this title which the regulatory body has the authority
to enforce, any regulation adopted pursuant thereto or any order
of the regulatory body; and
2. The court determines that the regulatory body is the
prevailing party in the action.
Sec. 12. NRS 622.100 is hereby amended to read as follows:
622.100 1. Each [occupational licensing board] regulatory
body shall, on or before the 20th day of January, April, July and
October, submit to the Director of the Legislative Counsel Bureau a
summary of each disciplinary action taken by the regulatory body
during the immediately preceding calendar quarter against [the
holder of a license, certificate, registration or permit issued by the
occupational licensing board.] any licensee of the regulatory body.
2. The Director of the Legislative Counsel Bureau shall:
(a) Provide any information he receives pursuant to subsection 1
to a member of the public upon request;
(b) Cause a notice of the availability of such information to be
posted on the public website of the Nevada Legislature on the
Internet; and
(c) Transmit a compilation of the information he receives
pursuant to subsection 1 to the Legislative Commission quarterly,
unless otherwise directed by the Commission.
Sec. 13. NRS 622.110 is hereby amended to read as follows:
622.110 1. Each [occupational licensing board] regulatory
body shall, on or before November 1 of each even-numbered year,
submit a report of its activities to the Director of the Legislative
Counsel Bureau.
2. The report must include, without limitation:
(a) The number of licenses [, certificates, registrations and
permits, respectively,] issued by the [occupational licensing board]
regulatory body during the immediately preceding 2 fiscal years;
(b) A summary of the budget of the [occupational licensing
board] regulatory body during the immediately preceding 2 fiscal
years that is related to the duties of the [occupational licensing
board] regulatory body pursuant to this title, including, without
limitation, a description of all income and expenditures related to
such duties;
(c) A summary of each disciplinary action taken by the
regulatory body during the immediately preceding 2 fiscal years
against [the holder of a license, certificate, registration or permit
issued by the occupational licensing board;] any licensee of the
regulatory body; and
(d) Any other information that is requested by the Director of
the Legislative Counsel Bureau or which the [occupational licensing
board] regulatory body determines would be helpful to the
Legislature in evaluating whether the continued existence of the
[occupational licensing board] regulatory body is necessary.
3. The Director of the Legislative Counsel Bureau shall
compile all the reports he receives and distribute copies of the
compilation to the Senate Standing Committee on Commerce and
Labor and the Assembly Standing Committee on Commerce and
Labor, which each shall review the compilation to determine
whether the continued existence of each [occupational licensing
board] regulatory body is necessary.
Sec. 14. NRS 623.131 is hereby amended to read as follows:
623.131 1. Except as otherwise provided in subsections 2, 3
and 4, the records of the Board which relate to:
(a) An employee of the Board;
(b) An examination given by the Board; or
(c) Complaints and charges filed with the Board and the material
compiled as a result of its investigation of those complaints and
charges,
are confidential.
2. The records described in subsection 1 may be disclosed,
pursuant to procedures established by regulation of the Board, to a
court or an agency of the Federal Government, any state, any
political subdivision of this state , or any other related professional
board or organization.
3. [Upon completion of an investigation by the Board, any
records of the Board described in paragraph (c) of subsection 1 are
public records only if:
(a) Disciplinary action is imposed by the Board as a result of the
investigation; or
(b) The person regarding whom the investigation was made
submits a written request to the Board requesting that the records be
made] The complaint or other document filed by the Board to
initiate disciplinary action and all other documents and
information considered by the Board when determining whether to
impose discipline are public records.
4. The Board may report to other related professional boards
and organizations an applicant’s score on an examination given by
the Board.
Sec. 15. NRS 623.270 is hereby amended to read as follows:
623.270 1. The Board may place the holder of any certificate
of registration issued pursuant to the provisions of this chapter on
probation, publicly reprimand him, fine him not more than $10,000,
suspend or revoke his license, impose the costs of investigation and
prosecution upon him or take any combination of these disciplinary
actions, if proof satisfactory to the Board is presented that:
(a) The certificate was obtained by fraud or concealment of a
material fact.
(b) The holder of the certificate has been found guilty by the
Board or by a court of justice of any fraud, deceit or concealment of
a material fact in his professional practice, or has been convicted by
a court of justice of a crime involving moral turpitude.
(c) The holder of the certificate has been found guilty by the
Board of incompetency, negligence or gross negligence in:
(1) The practice of architecture or residential design; or
(2) His practice as a registered interior designer.
(d) The holder of a certificate has affixed his signature or seal to
plans, drawings, specifications or other instruments of service which
have not been prepared by him or in his office, or under his
responsible control, or has permitted the use of his name to assist
any person who is not a registered architect, registered interior
designer or residential designer to evade any provision of this
chapter.
(e) The holder of a certificate has aided or abetted any
unauthorized person to practice:
(1) Architecture or residential design; or
(2) As a registered interior designer.
(f) The holder of the certificate has violated any law, regulation
or code of ethics pertaining to:
(1) The practice of architecture or residential design; or
(2) Practice as a registered interior designer.
(g) The holder of a certificate has failed to comply with an order
issued by the Board or has failed to cooperate with an investigation
conducted by the Board.
2. [If discipline is imposed pursuant to the provisions of this
section, the costs of the proceeding, including investigative costs
and attorney’s fees, may be recovered by the Board.
3.] The conditions for probation imposed pursuant to the
provisions of subsection 1 may include, but are not limited to:
(a) Restriction on the scope of professional practice.
(b) Peer review.
(c) Required education or counseling.
(d) Payment of restitution to each person who suffered harm or
loss.
[(e) Payment of all costs of the administrative investigation and
prosecution.
4.] 3. An order that imposes discipline and the findings of
fact and conclusions of law supporting that order are public
records.
4. The Board shall not privately reprimand the holder of any
certificate of registration issued pursuant to this chapter.
5. As used in this section:
(a) “Gross negligence” means conduct which demonstrates a
reckless disregard of the consequences affecting the life or property
of another person.
(b) “Incompetency” means conduct which, in:
(1) The practice of architecture or residential design; or
(2) Practice as a registered interior designer,
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:
(1) The profession of architecture or residential design; or
(2) Practice as a registered interior designer.
Sec. 16. Chapter 623A of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Executive Director, all documents and other
information filed with the complaint and all documents and other
information compiled as a result of an investigation conducted to
determine whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 17. NRS 623A.270 is hereby amended to read as follows:
623A.270 1. The Board may:
(a) Suspend or revoke a certificate of registration or certificate
to practice as a landscape architect intern;
(b) Refuse to renew a certificate of registration or certificate to
practice as a landscape architect intern;
(c) Place a holder of a certificate of registration or certificate to
practice as a landscape architect intern on probation;
(d) Issue a public reprimand to a holder of a certificate of
registration or certificate to practice as a landscape architect intern;
(e) Impose upon a holder of a certificate of registration or
certificate to practice as a landscape architect intern a fine of not
more than $5,000 for each violation of this chapter;
(f) Require a holder of a certificate of registration or certificate
to practice as a landscape architect intern to pay restitution; or
(g) [Require a holder of a certificate of registration or certificate
to practice as a landscape architect intern to pay the costs of an
investigation or prosecution; or
(h)] Take such other disciplinary action as the Board deems
appropriate,
if the holder of a certificate of registration or certificate to practice
as a landscape architect intern has committed any act set forth in
NRS 623A.280.
2. The conditions for probation imposed pursuant to the
provisions of subsection 1 may include, without limitation:
(a) Restriction on the scope of professional practice;
(b) Peer review;
(c) Education or counseling;
(d) The payment of restitution to each person who suffered harm
or loss; and
(e) The payment of all costs of the administrative investigation
and prosecution.
3. [If the Board imposes discipline pursuant to the provisions
of this section, the Board may recover the costs of the proceeding,
including any investigative costs and attorney’s fees.
4.] An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
4. The Board shall not issue a private reprimand to a holder
of a certificate of registration or certificate to practice as a
landscape architect intern.
5. The Board may adopt regulations setting forth a schedule of
fines for the purposes of paragraph (e) of subsection 1.
Sec. 18. Chapter 624 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of the investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 19. NRS 624.110 is hereby amended to read as follows:
624.110 1. The Board may maintain offices in as many
localities in the State as it finds necessary to carry out the provisions
of this chapter, but it shall maintain one office in which there must
be at all times open to public inspection a complete record of
applications, licenses issued, licenses renewed and all revocations,
cancellations and suspensions of licenses.
2. [Credit] Except as otherwise required in section 18 of this
act, credit reports, references, [investigative memoranda,] financial
information and data pertaining to a licensee’s net worth are
confidential and not open to public inspection.
Sec. 20. NRS 624.291 is hereby amended to read as follows:
624.291 1. Except as otherwise provided in subsection 4, if
the Board suspends or revokes a license, has probable cause to
believe that a person has violated NRS 624.720 or imposes an
administrative fine pursuant to NRS 624.710, the Board shall hold a
hearing. The time and place for the hearing must be fixed by the
Board, and notice of the time and place of the hearing must be
personally served on the applicant or accused or mailed to the last
known address of the applicant or accused at least 21 days before
the date fixed for the hearing.
2. The testimony taken pursuant to NRS 624.170 to 624.210,
inclusive, must be considered a part of the record of the hearing
before the Board.
3. [The] Except as otherwise provided in section 8 of this act,
the hearing must be public if a request is made therefor.
4. The Board may suspend the license of a contractor without a
hearing if the Board finds, based upon evidence in its possession,
that the public health, safety or welfare imperatively requires
summary suspension of the license of the contractor and
incorporates that finding in its order. If the Board summarily
suspends the license of the contractor, the Board must notify the
contractor by certified mail. A hearing must be held within 60 days
after the suspension if the contractor submits a written request for a
hearing to the Board within 20 days after the Board summarily
suspends his license.
Sec. 21. NRS 624.300 is hereby amended to read as follows:
624.300 1. Except as otherwise provided in subsection 3, the
Board may:
(a) Suspend or revoke licenses already issued;
(b) Refuse renewals of licenses;
(c) Impose limits on the field, scope and monetary limit of the
license;
(d) Impose an administrative fine of not more than $10,000;
(e) Order a licensee to repay to the account established pursuant
to NRS 624.470, any amount paid out of the account pursuant to
NRS 624.510 as a result of an act or omission of that licensee;
(f) Order the licensee to take action to correct a condition
resulting from an act which constitutes a cause for disciplinary
action, at the licensee’s cost, that may consist of requiring the
licensee to:
(1) Perform the corrective work himself;
(2) Hire and pay another licensee to perform the corrective
work; or
(3) Pay to the owner of the construction project a specified
sum to correct the condition; or
(g) [Reprimand] Issue a public reprimand or take other less
severe disciplinary action, including, without limitation, increasing
the amount of the surety bond or cash deposit of the licensee,
if the licensee commits any act which constitutes a cause for
disciplinary action.
2. If the Board suspends or revokes the license of a contractor
for failure to establish financial responsibility, the Board may, in
addition to any other conditions for reinstating or renewing the
license, require that each contract undertaken by the licensee for a
period to be designated by the Board, not to exceed 12 months, be
separately covered by a bond or bonds approved by the Board and
conditioned upon the performance of and the payment of labor and
materials required by the contract.
3. If a licensee violates the provisions of NRS 624.3014 or
subsection 3 of NRS 624.3015, the Board may impose an
administrative fine of not more than $20,000.
4. If a licensee commits a fraudulent act which is a cause for
disciplinary action under NRS 624.3016, the correction of any
condition resulting from the act does not preclude the Board from
taking disciplinary action.
5. If the Board finds that a licensee has engaged in repeated
acts that would be cause for disciplinary action, the correction of
any resulting conditions does not preclude the Board from taking
disciplinary action pursuant to this section.
6. The expiration of a license by operation of law or by order
or decision of the Board or a court, or the voluntary surrender of a
license by a licensee, does not deprive the Board of jurisdiction to
proceed with any investigation of, or action or disciplinary
proceeding against, the licensee or to render a decision suspending
or revoking the license.
7. [If discipline is imposed pursuant to this section, including
any discipline imposed pursuant to a stipulated settlement, the costs
of the proceeding, including investigative costs and attorney’s fees,
may be recovered by the Board.] The Board shall not issue a
private reprimand to a licensee.
8. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
9. All fines collected pursuant to this section must be deposited
with the State Treasurer for credit to the Construction Education
Account created pursuant to NRS 624.580.
Sec. 22. NRS 625.425 is hereby amended to read as follows:
625.425 1. Any information obtained during the course of an
investigation by the Board and any record of an investigation is
confidential . [until the investigation is completed.] If no
disciplinary action is taken against a licensee, an applicant for
licensure, an intern or an applicant for certification as an intern, or
no civil penalty is imposed pursuant to NRS 625.590, the
information in his investigative file remains confidential. [If a
formal complaint is filed, all pleadings and evidence introduced at
the hearing] The complaint or other document filed by the Board
to initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
2. The provisions of this section do not prohibit the Board or
its employees from communicating and cooperating with another
licensing board or any other agency that is investigating a person.
Sec. 23. NRS 625.460 is hereby amended to read as follows:
625.460 1. If, after a hearing, a majority of the members of
the Board present at the hearing vote in favor of finding the accused
person guilty, the Board may:
[1.] (a) Revoke the license of the professional engineer or
professional land surveyor or deny a license to the applicant;
[2.] (b) Suspend the license of the professional engineer or
professional land surveyor;
[3.] (c) Fine the licensee or applicant for licensure not more
than $15,000 for each violation of a provision of this chapter or any
regulation adopted by the Board;
[4.] (d) Place the licensee or applicant for licensure on
probation for such periods as it deems necessary and, if the Board
deems appropriate, require the licensee or applicant for licensure to
pay restitution to clients or other persons who have suffered
economic losses as a result of a violation of the provisions of this
chapter or the regulations adopted by the Board; or
[5.] (e) Take such other disciplinary action as the Board deems
appropriate.
2. The Board shall not issue a private reprimand.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 24. Chapter 625A of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 25. NRS 625A.180 is hereby amended to read as follows:
625A.180 1. If the Board finds after a hearing, or after
providing an opportunity for a hearing, that disciplinary action is
necessary, it may by order:
(a) Place the environmental health specialist on probation for a
specified period or until further order of the Board;
(b) Administer a public [or private] reprimand; or
(c) Suspend or revoke his certificate.
2. If the order places an environmental health specialist on
probation, the Board may impose such limitations or conditions
upon his professional activities as it finds consistent to protect the
public health.
3. The Board shall not administer a private reprimand.
4. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 26. Chapter 628 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 27. 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 publicly 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.
(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.
4. 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.] shall not privately censure the holder of any permit,
license or certificate of registration.
5. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 28. Chapter 630 of NRS is hereby amended by adding
thereto the provisions set forth as sections 29 to 41, inclusive, of this
act.
Sec. 29. 1. The Board shall employ a person as the
Executive Secretary of the Board.
2. The Executive Secretary serves as the chief administrative
officer of the Board at a level of compensation set by the Board.
3. The Executive Secretary is an at-will employee who serves
at the pleasure of the Board.
Sec. 30. 1. The Board may employ hearing officers,
experts, administrators, attorneys, investigators, consultants and
clerical personnel necessary to the discharge of its duties.
2. Each employee of the Board is an at-will employee who
serves at the pleasure of the Board. The Board may discharge an
employee of the Board for any reason that does not violate public
policy, including, without limitation, making a false representation
to the Board.
3. A hearing officer employed by the Board shall not act in
any other capacity for the Board or occupy any other position of
employment with the Board, and the Board shall not assign the
hearing officer any duties which are unrelated to the duties of a
hearing officer.
4. If a person resigns his position as a hearing officer or the
Board terminates the person from his position as a hearing
officer, the Board may not rehire the person in any position of
employment with the Board for a period of 2 years following the
date of the resignation or termination. The provisions of this
subsection do not give a person any right to be rehired by the
Board and do not permit the Board to rehire a person who is
prohibited from being employed by the Board pursuant to any
other provision of law.
Sec. 31. 1. Notwithstanding any other provision of law and
except as otherwise provided in this section, the Board shall not
adopt any regulations that prohibit or have the effect of
prohibiting a physician, physician assistant or practitioner of
respiratory care from collaborating or consulting with another
provider of health care.
2. The provisions of this section do not prevent the Board
from adopting regulations that prohibit a physician, physician
assistant or practitioner of respiratory care from aiding or abetting
another person in the unlicensed practice of medicine or the
unlicensed practice of respiratory care.
3. As used in this section, “provider of health care” has the
meaning ascribed to it in NRS 629.031.
Secs. 32 and 33. (Deleted by amendment.)
Sec. 34. 1. In addition to the other requirements for
licensure, an applicant for a license to practice medicine shall
submit to the Board information describing:
(a) Any claims made against the applicant for malpractice,
whether or not a civil action was filed concerning the claim;
(b) Any complaints filed against the applicant with a licensing
board of another state and any disciplinary action taken against
the applicant by a licensing board of another state; and
(c) Any complaints filed against the applicant with a hospital,
clinic or medical facility or any disciplinary action taken against
the applicant by a hospital, clinic or medical facility.
2. The Board shall not issue a license to the applicant until it
has received all the information required by this section.
Sec. 35. In addition to the other requirements for licensure,
an applicant for a license to practice medicine shall cause to be
submitted to the Board a certificate of completion of progressive
postgraduate training from the residency program where the
applicant received training.
Sec. 36. 1. If the Board has reason to believe that a person
has violated, is violating or is about to violate any provision of this
chapter, the Board may issue to the person a letter of warning, a
letter of concern or a nonpunitive admonishment at any time
before the Board has initiated any disciplinary proceedings
against the person.
2. The issuance of such a letter or admonishment:
(a) Does not preclude the Board from initiating any
disciplinary proceedings against the person or taking any
disciplinary action against the person based on any conduct
alleged or described in the letter or admonishment or any other
conduct; and
(b) Does not constitute a final decision of the Board and is not
subject to judicial review.
Sec. 37. 1. Each person who holds a license issued
pursuant to this chapter and who accepts the privilege of
practicing medicine or respiratory care within this state pursuant
to the provisions of the license shall be deemed to have given his
consent to the revocation of the license at any time by the Board in
accordance with the provisions of this section.
2. The Board shall not revoke a license issued pursuant to
this chapter unless the Board finds by a preponderance of the
evidence that the licensee committed a material violation of:
(a) Any provision of NRS 630.161 or 630.301 to 630.3067,
inclusive; or
(b) Any condition, restriction or limitation imposed on the
license.
Sec. 38. The expiration of a license by operation of law or by
order or decision of the Board or a court, or the voluntary
surrender of a license by a licensee, does not deprive the Board of
jurisdiction to proceed with any investigation of, or action or
disciplinary proceeding against, the licensee or to render a
decision suspending or revoking the license.
Sec. 39. 1. A physician shall report to the Board:
(a) Any action for malpractice against the physician not later
than 45 days after the physician receives service of a summons
and complaint for the action;
(b) Any claim for malpractice against the physician that is
submitted to arbitration or mediation not later than 45 days after
the claim is submitted to arbitration or mediation;
(c) Any settlement, award, judgment or other disposition of
any action or claim described in paragraph (a) or (b) not later
than 45 days after the settlement, award, judgment or other
disposition; and
(d) Any sanctions imposed against the physician that are
reportable to the National Practitioner Data Bank not later than
45 days after the sanctions are imposed.
2. If the Board finds that a physician has violated any
provision of this section, the Board may impose a fine of not more
than $5,000 against the physician for each violation, in addition to
any other fines or penalties permitted by law.
3. All reports made by a physician pursuant to this section are
public records.
Sec. 40. If the Board receives a report pursuant to the
provisions of NRS 630.3067, 690B.045, 690B.050 or section 39 of
this act indicating that a judgment has been rendered or an award
has been made against a physician regarding an action or claim
for malpractice or that such an action or claim against the
physician has been resolved by settlement, the Board shall conduct
an investigation to determine whether to impose disciplinary
action against the physician regarding the action or claim, unless
the Board has already commenced or completed such an
investigation regarding the action or claim before it receives the
report.
Sec. 41. 1. In addition to any other audits required of the
Board by law, the Legislative Commission shall issue to the
Federation of State Medical Boards of the United States, Inc., a
request for proposal to conduct regular performance audits of the
Board. After considering the response to the request for proposal,
if the Legislative Commission finds that the Federation of State
Medical Boards of the United States, Inc., has the ability to
conduct fair and impartial performance audits of the Board, the
Legislative Commission shall engage the services of the
Federation of State Medical Boards of the United States, Inc., to
conduct regular performance audits of the Board. If the
Legislative Commission finds that the Federation of State Medical
Boards of the United States, Inc., does not have the ability to
conduct fair and impartial performance audits of the Board or is
otherwise unable to conduct such performance audits, the
Legislative Commission shall direct the Audit Division of the
Legislative Counsel Bureau to conduct regular performance
audits of the Board.
2. The initial performance audit of the Board must be
commenced before October 1, 2003. After the initial performance
audit is completed, additional performance audits must be
conducted:
(a) Once every 8 years, for the preceding 8-year period; or
(b) Whenever ordered by the Legislative Commission, for the
period since the last performance audit was conducted pursuant to
this section.
3. A written report of the results of the initial performance
audit must be submitted to the Secretary of the Legislative
Commission not later than 60 days after the date that the initial
performance audit is commenced. A written report of the results of
each subsequent performance audit must be submitted to the
Secretary of the Legislative Commission as soon as practicable
after the date that the performance audit is commenced.
4. Upon receipt of the written report of the results of each
performance audit, the Secretary of the Legislative Commission
shall:
(a) Distribute the report to the members of the Legislative
Commission and to any other Legislator who requests a copy of
the report; and
(b) Not later than 30 days after receipt of the report, make the
report available to the public.
5. The Board shall pay all costs related to each performance
audit conducted pursuant to this section.
6. Any person who conducts a performance audit pursuant to
this section:
(a) Is directly responsible to the Legislative Commission;
(b) Must be sufficiently qualified to conduct the performance
audit; and
(c) Must never have conducted an audit of the Board pursuant
to NRS 218.825 or have been affiliated, in any way, with a person
who has conducted an audit of the Board pursuant to NRS
218.825.
7. Each performance audit conducted pursuant to this section
must include, without limitation, a comprehensive review and
evaluation of:
(a) The methodology and efficiency of the Board in
responding to complaints filed by the public against a licensee;
(b) The methodology and efficiency of the Board in
responding to complaints filed by a licensee against another
licensee;
(c) The methodology and efficiency of the Board in conducting
investigations of licensees who have had two or more malpractice
claims filed against them within a period of 12 months;
(d) The methodology and efficiency of the Board in
conducting investigations of licensees who have been subject to
one or more peer review actions at a medical facility that resulted
in the licensee losing his professional privileges at the medical
facility for more than 30 days within a period of 12 months;
(e) The methodology and efficiency of the Board in taking
preventative steps or progressive actions to remedy or deter any
unprofessional conduct by a licensee before such conduct results
in a violation under this chapter that warrants disciplinary action;
and
(f) The managerial and administrative efficiency of the Board
in using the fees that it collects pursuant to this chapter.
Sec. 42. NRS 630.003 is hereby amended to read as follows:
630.003 1. The Legislature finds and declares that [it] :
(a) It is among the responsibilities of State Government to
ensure, as far as possible, that only competent persons practice
medicine and respiratory care within this state [. For this purpose,] ;
(b) For the protection and benefit of the public, the Legislature
delegates to the Board of Medical Examiners the power and duty [of
determining] to determine the initial and continuing competence of
[doctors of medicine,] physicians, physician assistants and
practitioners of respiratory care [in this state.] who are subject to
the provisions of this chapter;
(c) The Board must exercise its regulatory power to ensure
that the interests of the medical profession do not outweigh the
interests of the public;
(d) The Board must ensure that unfit physicians, physician
assistants and practitioners of respiratory care are removed from
the medical profession so that they will not cause harm to the
public; and
(e) The Board must encourage and allow for public input into
its regulatory activities to further improve the quality of medical
practice within this state.
2. The powers conferred upon the Board by this chapter must
be liberally construed to carry out [this purpose.] these purposes for
the protection and benefit of the public.
Sec. 43. NRS 630.020 is hereby amended to read as follows:
630.020 “Practice of medicine” means:
1. To diagnose, treat, correct, prevent or prescribe for any
human disease, ailment, injury, infirmity, deformity or other
condition, physical or mental, by any means or instrumentality.
2. To apply principles or techniques of medical science in the
diagnosis or the prevention of any such conditions.
3. To perform any of the acts described in subsections 1 and 2
by using equipment that transfers information concerning the
medical condition of the patient electronically, telephonically or by
fiber optics.
4. To offer, undertake, attempt to do or hold oneself out as able
to do any of the acts described in subsections 1 and 2.
[5. To use in connection with a person’s name the words or
letters “M.D.,” or any other title, word, letter or other designation
intended to imply or designate him as a practitioner of medicine in
any of its branches, except in the manner authorized by NRS
630A.220.]
Sec. 44. NRS 630.045 is hereby amended to read as follows:
630.045 1. The purpose of licensing physicians, physician
assistants and practitioners of respiratory care is to protect the public
health and safety and the general welfare of the people of this state.
2. Any license issued pursuant to this chapter is a revocable
privilege [and no holder of] , but the Board may revoke such a
license [acquires thereby any vested right.] only in accordance with
the provisions of section 37 of this act.
Sec. 45. NRS 630.060 is hereby amended to read as follows:
630.060 1. Six members of the Board must be persons who
are licensed to practice medicine in this state, are actually engaged
in the practice of medicine in this state and have resided and
practiced medicine in this state for at least 5 years preceding their
respective appointments.
2. The remaining members must be persons who have resided
in this state for at least 5 years and who:
(a) Are not licensed in any state to practice any healing art;
(b) Are not actively engaged in the administration of any facility
for the dependent as defined in chapter 449 of NRS, medical facility
or medical school; and
(c) Do not have a pecuniary interest in any matter pertaining to
the healing arts, except as a patient or potential patient.
3. The members of the Board must be selected without regard
to their individual political beliefs.
4. The President of the Board shall conduct a training
[programs] program to assist new members of the Board in the
performance of their duties.
Sec. 46. NRS 630.100 is hereby amended to read as follows:
630.100 1. The Board shall meet at least twice annually and
may meet at other times on the call of the President or a majority of
its members.
2. Meetings of the Board must be held at a location at which
members of the general public may testify via telephone or video
conference between Las Vegas and Carson City or Reno.
3. A majority of the Board, or of any committee or panel
appointed by the Board constitutes a quorum. If there is a quorum, a
vote of the majority of the members present is all that is necessary to
transact any business before the Board or the committee or panel
appointed by the Board.
Sec. 47. NRS 630.125 is hereby amended to read as follows:
630.125 The Board may[:
1. Maintain] maintain offices in as many localities in the State
as it finds necessary to carry out the provisions of this chapter.
[2. Employ hearing officers, experts, administrators, attorneys,
investigators, consultants and clerical personnel necessary to the
discharge of its duties.]
Sec. 48. NRS 630.130 is hereby amended to read as follows:
630.130 1. In addition to the other powers and duties
provided in this chapter, the Board shall[:] , in the interest of the
public, judiciously:
(a) Enforce the provisions of this chapter;
(b) Establish by regulation standards for licensure under this
chapter;
(c) Conduct examinations for licensure and establish a system of
scoring for those examinations;
(d) Investigate the character of each applicant for a license and
issue licenses to those applicants who meet the qualifications set by
this chapter and the Board; and
(e) Institute a proceeding in any court to enforce its orders or the
provisions of this chapter.
2. On or before February 15 of each odd-numbered year, the
board shall submit to the Governor and to the Director of the
Legislative Counsel Bureau for transmittal to the next regular
session of the Legislature a written report compiling:
(a) Disciplinary action taken by the Board during the previous
biennium against physicians for malpractice or negligence; and
(b) Information reported to the Board during the previous
biennium pursuant to NRS 630.3067, subsections 2 and 3 of NRS
630.307 and NRS 690B.045[.] and 690B.050 and section 39 of this
act.
The report must include only aggregate information for statistical
purposes and exclude any identifying information related to a
particular person.
3. The Board may adopt such regulations as are necessary or
desirable to enable it to carry out the provisions of this chapter.
Secs. 49 and 50. (Deleted by amendment.)
Sec. 51. NRS 630.261 is hereby amended to read as follows:
630.261 1. Except as otherwise provided in NRS 630.161,
the Board may issue:
(a) A locum tenens license, to be effective not more than 3
months after issuance, to any physician who is licensed and in good
standing in another state, who meets the requirements for licensure
in this state and who is of good moral character and reputation. The
purpose of this license is to enable an eligible physician to serve as a
substitute for another physician who is licensed to practice medicine
in this state and who is absent from his practice for reasons deemed
sufficient by the Board. A license issued pursuant to the provisions
of this paragraph is not renewable.
(b) A special license to a licensed physician of another state to
come into this state to care for or assist in the treatment of his own
patient in association with a physician licensed in this state. A
special license issued pursuant to the provisions of this paragraph is
limited to the care of a specific patient. The physician licensed in
this state has the primary responsibility for the care of that patient.
(c) A restricted license for a specified period if the Board
determines the applicant needs supervision or restriction.
(d) A temporary license for a specified period if the physician is
licensed and in good standing in another state and meets the
requirements for licensure in this state, and if the Board determines
that it is necessary in order to provide medical services for a
community without adequate medical care. A temporary license
issued pursuant to the provisions of this paragraph is not renewable.
(e) A special purpose license to a physician who is licensed in
another state to permit the use of equipment that transfers
information concerning the medical condition of a patient in this
state across state lines electronically, telephonically or by fiber
optics if the physician:
(1) Holds a full and unrestricted license to practice medicine
in that state;
(2) Has not had any disciplinary or other action taken against
him by any state or other jurisdiction; and
(3) Meets the requirement set forth in paragraph (d) of
subsection 2 of NRS 630.160.
2. Except as otherwise provided in this section, the Board may
renew or modify any license issued pursuant to subsection 1.
[3. Every physician who is licensed pursuant to subsection 1
and who accepts the privilege of practicing medicine in this state
pursuant to the provisions of the license shall be deemed to have
given his consent to the revocation of the license at any time by the
Board for any of the grounds provided in NRS 630.161 or 630.301
to 630.3065, inclusive.]
Sec. 52. 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 [.] , but only if such malpractice is
established by a preponderance of the evidence.
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. 53. NRS 630.3062 is hereby amended to read as follows:
630.3062 The following acts, among others, constitute grounds
for initiating disciplinary action or denying licensure:
1. Failure to maintain timely, legible, accurate and complete
medical records relating to the diagnosis, treatment and care of a
patient.
2. Altering medical records of a patient.
3. Making or filing a report which the licensee knows to be
false, failing to file a record or report as required by law or willfully
obstructing or inducing another to obstruct such filing.
4. Failure to make the medical records of a patient available for
inspection and copying as provided in NRS 629.061.
5. Failure to comply with the requirements of [NRS 630.3067.]
section 39 of this act.
6. Failure to report any person the licensee knows, or has
reason to know, is in violation of the provisions of this chapter or
the regulations of the Board.
Sec. 54. NRS 630.3067 is hereby amended to read as follows:
630.3067 1. The insurer of a physician licensed under this
chapter [and the physician must] shall report to the Board [any
action filed or claim] :
(a) Any action for malpractice against the physician not later
than 45 days after the physician receives service of a summons
and complaint for the action;
(b) Any claim for malpractice against the physician that is
submitted to arbitration or mediation [for malpractice or negligence
against the physician and the] not later than 45 days after the claim
is submitted to arbitration or mediation; and
(c) Any settlement, award, judgment or other disposition of [the]
any action or claim [within 30 days after:
(a) The action was filed or the claim was submitted to
arbitration or mediation; and
(b) The disposition of the action or claim.] described in
paragraph (a) or (b) not later than 45 days after the settlement,
award, judgment or other disposition.
2. The Board shall report any failure to comply with subsection
1 by an insurer licensed in this state to the Division of Insurance of
the Department of Business and Industry. If, after a hearing, the
Division of Insurance determines that any such insurer failed to
comply with the requirements of subsection 1, the Division may
impose an administrative fine of not more than $10,000 against the
insurer for each such failure to report. If the administrative fine is
not paid when due, the fine must be recovered in a civil action
brought by the Attorney General on behalf of the Division.
Sec. 55. NRS 630.318 is hereby amended to read as follows:
630.318 1. If the Board or any investigative committee of the
Board has reason to believe that the conduct of any physician has
raised a reasonable question as to his competence to practice
medicine with reasonable skill and safety to patients, or if the Board
has received a report pursuant to the provisions of NRS 630.3067,
690B.045, 690B.050 or section 39 of this act indicating that a
judgment has been rendered or an award has been made against a
physician regarding an action or claim for malpractice or that
such an action or claim against the physician has been resolved by
settlement, it may order that the physician undergo a mental or
physical examination or an examination testing his competence to
practice medicine by physicians or other examinations designated
by the Board to assist the Board or committee in determining the
fitness of the physician to practice medicine.
2. For the purposes of this section:
(a) Every physician who applies for a license or who is licensed
under this chapter shall be deemed to have given his consent to
submit to a mental or physical examination or an examination
testing his competence to practice medicine when ordered to do so
in writing by the Board.
(b) The testimony or reports of the examining physicians are not
privileged communications.
3. Except in extraordinary circumstances, as determined by the
Board, the failure of a physician licensed under this chapter to
submit to an examination when directed as provided in this section
constitutes an admission of the charges against him.
Sec. 56. NRS 630.333 is hereby amended to read as follows:
630.333 1. In addition to any other remedy provided by law,
the Board, through its President or Secretary-Treasurer or the
Attorney General, may apply to any court of competent jurisdiction:
(a) To enjoin any prohibited act or other conduct of a licensee
which is harmful to the public;
(b) To enjoin any person who is not licensed under this chapter
from practicing medicine or respiratory care;
(c) To limit the practice of a physician, physician assistant or
practitioner of respiratory care, or suspend his license to practice; or
(d) To enjoin the use of the title [“M. D.,”] “P.A.,” “P.A.-C,”
“R.C.P.” or any other word, combination of letters or other
designation intended to imply or designate a person as a [physician,]
physician assistant or practitioner of respiratory care, when not
licensed by the Board pursuant to this chapter, unless the use is
otherwise authorized by a specific statute.
2. The court in a proper case may issue a temporary restraining
order or a preliminary injunction for the purposes set forth in
subsection 1:
(a) Without proof of actual damage sustained by any person;
(b) Without relieving any person from criminal prosecution for
engaging in the practice of medicine without a license; and
(c) Pending proceedings for disciplinary action by the Board.
Sec. 57. NRS 630.336 is hereby amended to read as follows:
630.336 1. [Any proceeding of a committee of the Board
investigating complaints is not subject to the requirements of NRS
241.020, unless the licensee under investigation requests that the
proceeding be subject to those requirements.] Any deliberations
conducted or vote taken by[:
(a) The Board or panel regarding its decision; or
(b) The] the Board or any investigative committee of the Board
regarding its ordering of a physician, physician assistant or
practitioner of respiratory care to undergo a physical or mental
examination or any other examination designated to assist the Board
or committee in determining the fitness of a physician, physician
assistant or practitioner of respiratory care[,]are not subject to the
requirements of NRS 241.020.
2. Except as otherwise provided in subsection 3[,] or 4, all
applications for a license to practice medicine or respiratory care,
any charges filed by the Board, financial records of the Board,
formal hearings on any charges heard by the Board or a panel
selected by the Board, records of such hearings and any order or
decision of the Board or panel must be open to the public.
3. [Except as otherwise provided in NRS 630.352 and 630.368,
the] The following may be kept confidential:
(a) Any statement, evidence, credential or other proof submitted
in support of or to verify the contents of an application;
(b) [All investigations and records of investigations;
(c)] Any report concerning the fitness of any person to receive
or hold a license to practice medicine or respiratory care;
[(d)] and
(c) Any communication between:
(1) The Board and any of its committees or panels; and
(2) The Board or its staff, investigators, experts, committees,
panels, hearing officers, advisory members or consultants and
counsel for the [Board; and
(e) Any other information or records in the possession of the]
Board.
4. Except as otherwise provided in subsection 5, a complaint
filed with the Board pursuant to NRS 630.307, all documents and
other information filed with the complaint and all documents and
other information compiled as a result of an investigation
conducted to determine whether to initiate disciplinary action are
confidential.
5. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
6. This section does not prevent or prohibit the Board from
communicating or cooperating with any other licensing board or
agency or any agency which is investigating a licensee, including a
law enforcement agency. Such cooperation may include, without
limitation, providing the board or agency with minutes of a closed
meeting, transcripts of oral examinations and the results of oral
examinations.
Sec. 58. NRS 630.352 is hereby amended to read as follows:
630.352 1. Any member of the Board, except for an advisory
member serving on a panel of the Board hearing charges, may
participate in the final order of the Board. If the Board, after a
formal hearing, determines from a preponderance of the evidence
that a violation of the provisions of this chapter or of the regulations
of the Board has occurred, it shall issue and serve on the physician
charged an order, in writing, containing its findings and any
sanctions.
2. If the Board determines that no violation has occurred, it
shall dismiss the charges, in writing, and notify the physician that
the charges have been dismissed. If the disciplinary proceedings
were instituted against the physician as a result of a complaint filed
against him, the Board may provide the physician with a copy of the
complaint.
3. Except as otherwise provided in subsection 4, if the Board
finds that a violation has occurred, it [may] shall by order [:] take
one or more of the following actions:
(a) Place the person on probation for a specified period on any
of the conditions specified in the order;
(b) Administer to him a public reprimand;
(c) Limit his practice or exclude one or more specified branches
of medicine from his practice;
(d) Suspend his license for a specified period or until further
order of the Board;
(e) Revoke his license to practice medicine[;] , but only in
accordance with the provisions of section 37 of this act;
(f) Require him to participate in a program to correct alcohol or
drug dependence or any other impairment;
(g) Require supervision of his practice;
(h) Impose a fine not to exceed $5,000;
(i) Require him to perform community service without
compensation;
(j) Require him to take a physical or mental examination or an
examination testing his competence; and
(k) Require him to fulfill certain training or educational
requirements . [; and
(l) Require him to pay all costs incurred by the Board relating to
his disciplinary proceedings.]
4. If the Board finds that the physician has violated the
provisions of NRS 439B.425, the Board shall suspend his license for
a specified period or until further order of the Board.
5. The Board shall not administer a private reprimand if the
Board finds that a violation has occurred.
6. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 59. NRS 630.400 is hereby amended to read as follows:
630.400 A person who:
1. Presents to the Board as his own the diploma, license or
credentials of another;
2. Gives either false or forged evidence of any kind to the
Board;
3. Practices medicine or respiratory care under a false or
assumed name or falsely personates another licensee;
4. Except as otherwise provided by specific statute, practices
medicine or respiratory care without being licensed under this
chapter;
5. Holds himself out as a physician assistant or uses any other
term indicating or implying that he is a physician assistant without
being licensed by the Board; or
6. Holds himself out as a practitioner of respiratory care or uses
any other term indicating or implying that he is a practitioner of
respiratory care without being licensed by the Board , [; or
7. Uses the title “M.D.”:
(a) Without having been awarded such a degree; or
(b) When not authorized by a specific statute,]
is guilty of a category D felony and shall be punished as provided in
NRS 193.130.
Sec. 60. NRS 630A.510 is hereby amended to read as follows:
630A.510 1. Any member of the Board who was not a
member of the investigative committee, if one was appointed, may
participate in the final order of the Board. If the Board, after a
formal hearing, determines that a violation of the provisions of this
chapter or the regulations adopted by the Board has occurred, it
shall issue and serve on the person charged an order, in writing,
containing its findings and any sanctions imposed by the Board. If
the Board determines that no violation has occurred, it shall dismiss
the charges, in writing, and notify the person that the charges have
been dismissed.
2. If the Board finds that a violation has occurred, it may by
order:
(a) Place the person on probation for a specified period on any
of the conditions specified in the order.
(b) Administer to the person a public reprimand.
(c) Limit the practice of the person or exclude a method of
treatment from the scope of his practice.
(d) Suspend the license of the person for a specified period or
until further order of the Board.
(e) Revoke the license of the person to practice homeopathic
medicine.
(f) Require the person to participate in a program to correct a
dependence upon alcohol or a controlled substance, or any other
impairment.
(g) Require supervision of the person’s practice.
(h) Impose an administrative fine not to exceed $10,000.
(i) Require the person to perform community service without
compensation.
(j) Require the person to take a physical or mental examination
or an examination of his competence to practice homeopathic
medicine.
(k) Require the person to fulfill certain training or educational
requirements.
[(l) Require the person to pay the costs of the investigation and
hearing.]
3. The Board shall not administer a private reprimand.
4. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 61. NRS 630A.555 is hereby amended to read as follows:
630A.555 1. Except as otherwise provided in [subsection 2,]
this section, any records or information obtained during an
investigation by the Board and any record of the investigation are
confidential . [until the investigation is completed. Upon completion
of the investigation, the information and records are public records
if:
(a) Disciplinary action is imposed by the Board as a result of the
investigation; or
(b) The person regarding whom the investigation was made
submits a written request to the Board asking that the information
and records be made public records.]
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
3. The Board may provide any record or information described
in subsection 1 to any other licensing board or agency, including a
law enforcement agency, which is investigating a person who is
licensed pursuant to this chapter.
Sec. 62. NRS 631.350 is hereby amended to read as follows:
631.350 1. Except as otherwise provided in NRS 631.271
and 631.347, the Board may:
(a) Refuse to issue a license to any person;
(b) Revoke or suspend the license or renewal certificate issued
by it to any person;
(c) Fine a person it has licensed;
(d) Place a person on probation for a specified period on any
conditions the Board may order;
(e) Issue a public reprimand to a person;
(f) Limit a person’s practice to certain branches of dentistry;
(g) Require a person to participate in a program to correct
alcohol or drug abuse or any other impairment;
(h) Require that a person’s practice be supervised;
(i) Require a person to perform community service without
compensation;
(j) Require a person to take a physical or mental examination or
an examination of his competence;
(k) Require a person to fulfill certain training or educational
requirements;
(l) Require a person to reimburse a patient; or
(m) Any combination thereof,
upon proof satisfactory to the Board that the person has engaged in
any of the activities listed in subsection 2.
2. The following activities may be punished as provided in
subsection 1:
(a) Engaging in the illegal practice of dentistry or dental
hygiene;
(b) Engaging in unprofessional conduct; or
(c) Violating any regulations adopted by the Board or the
provisions of this chapter.
3. The Board may delegate to a hearing officer or panel its
authority to take any disciplinary action pursuant to this chapter,
impose and collect fines therefor and deposit the money therefrom
in banks, credit unions or savings and loan associations in this state.
4. If a hearing officer or panel is not authorized to take
disciplinary action pursuant to subsection 3 and the Board deposits
the money collected from the imposition of fines with the State
Treasurer for credit to the State General Fund, it may present a
claim to the State Board of Examiners for recommendation to the
Interim Finance Committee if money is needed to pay attorney’s
fees or the costs of an investigation, or both.
5. The Board shall not administer a private reprimand.
6. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 63. NRS 631.368 is hereby amended to read as follows:
631.368 1. Except as otherwise provided in [subsection 2,]
this section, any records or information obtained during the course
of an investigation by the Board and any record of the investigation
are confidential . [until the investigation is completed. Upon
completion of the investigation the information and records are
public records, only if:
(a) Disciplinary action is imposed by the Board as a result of the
investigation; or
(b) The person regarding whom the investigation was made
submits a written request to the Board asking that the information
and records be made public records.]
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
3. The Board may provide any record or information described
in subsection 1 to any other licensing board or agency or any agency
which is investigating a person licensed pursuant to this chapter,
including a law enforcement agency.
Sec. 64. NRS 632.325 is hereby amended to read as follows:
632.325 1. If the Board determines that a licensee or holder
of a certificate has committed any of the acts set forth in NRS
632.320, it may take any one or more of the following disciplinary
actions:
(a) Place conditions, limitations or restrictions on his license or
certificate.
(b) Impose and collect an administrative fine of not more than
$5,000.
(c) [Require the licensee or holder of a certificate to pay all costs
incurred by the Board relating to the discipline of the licensee or
holder of a certificate.
(d) Reprimand] Publicly reprimand the licensee or holder of a
certificate.
[(e)] (d) Accept the voluntary surrender of a license or
certificate in lieu of imposing any other disciplinary action set forth
in this subsection.
2. If the Board determines that:
(a) A person whose license or certificate is suspended or
voluntarily surrendered, or has been placed on an inactive list
pursuant to NRS 632.341, has committed, during the period his
license or certificate was valid, inactive or would have been valid if
not for the suspension or surrender; or
(b) An applicant for the renewal or reinstatement of a license or
certificate has committed, at any time after the most recent renewal
of his license or certificate or the issuance of his original license or
certificate if it has not been renewed,
any of the acts set forth in NRS 632.320, the Board may take any
one or more of the disciplinary actions set forth in subsection 1.
3. The Board shall not privately reprimand a licensee or
holder of a certificate.
4. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 65. NRS 632.405 is hereby amended to read as follows:
632.405 1. [Any] Except as otherwise provided in this
section, any records or information obtained during the course of an
investigation by the Board and any record of the investigation are
confidential . [until the investigation is completed. Upon completion
of the investigation the information and records are public records,
only if:
(a) Disciplinary action is imposed by the Board as a result of the
investigation; or
(b) The person regarding whom the investigation was made
submits a written request to the Board asking that the information
and records be made public records.]
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
disciplinary action are public records.
3. This section does not prevent or prohibit the Board from
communicating or cooperating with another licensing board or any
agency that is investigating a licensee, including a law enforcement
agency.
Sec. 66. Chapter 633 of NRS is hereby amended by adding
thereto the provisions set forth as sections 67 to 73, inclusive, of this
act.
Sec. 67. 1. In addition to the other requirements for
licensure, an applicant for a license to practice osteopathic
medicine shall submit to the Board information describing:
(a) Any claims made against the applicant for malpractice,
whether or not a civil action was filed concerning the claim;
(b) Any complaints filed against the applicant with a licensing
board of another state and any disciplinary action taken against
the applicant by a licensing board of another state; and
(c) Any complaints filed against the applicant with a hospital,
clinic or medical facility or any disciplinary action taken against
the applicant by a hospital, clinic or medical facility.
2. The Board shall not issue a license to the applicant until it
has received all the information required by this section.
Sec. 68. In addition to the other requirements for licensure,
an applicant shall cause to be submitted to the Board a certificate
of completion of progressive postgraduate training from the
residency program where the applicant received training.
Sec. 69. The expiration of a license by operation of law or by
order or decision of the Board or a court, or the voluntary
surrender of a license by a licensee, does not deprive the Board of
jurisdiction to proceed with any investigation of, or action or
disciplinary proceeding against, the licensee or to render a
decision suspending or revoking the license.
Sec. 70. 1. An osteopathic physician shall report to the
Board:
(a) Any action for malpractice against the osteopathic
physician not later than 45 days after the osteopathic physician
receives service of a summons and complaint for the action;
(b) Any claim for malpractice against the osteopathic
physician that is submitted to arbitration or mediation not later
than 45 days after the claim is submitted to arbitration or
mediation;
(c) Any settlement, award, judgment or other disposition of
any action or claim described in paragraph (a) or (b) not later
than 45 days after the settlement, award, judgment or other
disposition; and
(d) Any sanctions imposed against the osteopathic physician
that are reportable to the National Practitioner Data Bank not
later than 45 days after the sanctions are imposed.
2. If the Board finds that an osteopathic physician has
violated any provision of this section, the Board may impose a fine
of not more than $5,000 against the osteopathic physician for each
violation, in addition to any other fines or penalties permitted by
law.
3. All reports made by an osteopathic physician pursuant to
this section are public records.
Sec. 71. If the Board receives a report pursuant to the
provisions of NRS 633.526, 690B.045, 690B.050 or section 70 of
this act indicating that a judgment has been rendered or an award
has been made against an osteopathic physician regarding an
action or claim for malpractice or that such an action or claim
against the osteopathic physician has been resolved by settlement,
the Board shall conduct an investigation to determine whether to
impose disciplinary action against the osteopathic physician
regarding the action or claim, unless the Board has already
commenced or completed such an investigation regarding the
action or claim before it receives the report.
Sec. 72. 1. If the Board receives a report pursuant to the
provisions of NRS 633.526, 690B.045, 690B.050 or section 70 of
this act indicating that a judgment has been rendered or an award
has been made against an osteopathic physician regarding an
action or claim for malpractice or that such an action or claim
against the osteopathic physician has been resolved by settlement,
the Board may order that the osteopathic physician undergo a
mental or physical examination or an examination testing his
competence to practice medicine by osteopathic physicians or
other examinations designated by the Board to assist the Board or
any investigative committee of the Board in determining the
fitness of the osteopathic physician to practice medicine.
2. For the purposes of this section:
(a) Every osteopathic physician who applies for a license or
who holds a license under this chapter shall be deemed to have
given his consent to submit to a mental or physical examination or
an examination testing his competence to practice medicine when
ordered to do so in writing by the Board.
(b) The testimony or reports of the examining osteopathic
physician are not privileged communications.
Sec. 73. (Deleted by amendment.)
Sec. 74. NRS 633.286 is hereby amended to read as follows:
633.286 1. On or before February 15 of each odd-numbered
year, the Board shall submit to the Governor and to the Director of
the Legislative Counsel Bureau for transmittal to the next regular
session of the Legislature a written report compiling:
(a) Disciplinary action taken by the Board during the previous
biennium against osteopathic physicians for malpractice or
negligence; and
(b) Information reported to the Board during the previous
biennium pursuant to NRS 633.526, subsections 2 and 3 of NRS
633.533 and NRS 690B.045[.] and 690B.050 and section 70 of this
act.
2. The report must include only aggregate information for
statistical purposes and exclude any identifying information related
to a particular person.
Sec. 75. NRS 633.301 is hereby amended to read as follows:
633.301 The Board shall keep a record of its proceedings
relating to licensing and disciplinary actions. [The record shall]
Except as otherwise provided in NRS 633.611, the record must be
open to public inspection at all reasonable times and [shall also]
contain the name, known place of business and residence, and the
date and number of the license of every osteopathic physician
licensed under this chapter.
Sec. 76. 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;
(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.]
section 70 of this act.
Sec. 77. NRS 633.526 is hereby amended to read as follows:
633.526 1. The insurer of an osteopathic physician licensed
under this chapter [and the osteopathic physician must] shall report
to the Board [any action filed or claim] :
(a) Any action for malpractice against the osteopathic
physician not later than 45 days after the osteopathic physician
receives service of a summons and complaint for the action;
(b) Any claim for malpractice against the osteopathic
physician that is submitted to arbitration or mediation [for
malpractice or negligence against the osteopathic physician and the]
not later than 45 days after the claim is submitted to arbitration or
mediation; and
(c) Any settlement, award, judgment or other disposition of [the]
any action or claim [within 30 days after:
(a) The action was filed or the claim was submitted to
arbitration or mediation; and
(b) The disposition of the action or claim.] described in
paragraph (a) or (b) not later than 45 days after the settlement,
award, judgment or other disposition.
2. The Board shall report any failure to comply with subsection
1 by an insurer licensed in this state to the Division of Insurance of
the Department of Business and Industry. If, after a hearing, the
Division of Insurance determines that any such insurer failed to
comply with the requirements of subsection 1, the Division may
impose an administrative fine of not more than $10,000 against the
insurer for each such failure to report. If the administrative fine is
not paid when due, the fine must be recovered in a civil action
brought by the Attorney General on behalf of the Division.
Sec. 77.5. NRS 633.611 is hereby amended to read as follows:
633.611 [All proceedings subsequent to the filing of]
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of the investigation conducted to determine
whether to initiate disciplinary action are confidential . [, except to
the extent necessary for the conduct of an examination, until]
2. The complaint or other document filed by the Board
[determines to proceed with] to initiate disciplinary action [. If]and
all documents and information considered by the Board [dismisses
the complaint, the proceedings remain confidential. If the Board
proceeds with disciplinary action, confidentiality concerning the
proceedings is no longer required.] when determining whether to
impose discipline are public records.
3. The Board may disseminate all documents and other
information filed with the complaint and all documents and
other information compiled as a result of an investigation to any
other licensing board, national association of registered boards,
an agency of the Federal Government or of the State, the Attorney
General or any law enforcement agency, regardless of whether the
Board initiates disciplinary action as a result of the complaint or
investigation.
Sec. 78. NRS 633.651 is hereby amended to read as follows:
633.651 1. The person charged in a formal complaint is
entitled to a hearing before the Board, but the failure of the person
charged to attend his hearing or his failure to defend himself must
not delay or void the proceedings. The Board may, for good cause
shown, continue any hearing from time to time.
2. If the Board finds the person guilty as charged in the formal
complaint, it [may] shall by order [:] take one or more of the
following actions:
(a) Place the person on probation for a specified period or until
further order of the Board.
(b) Administer to the person a public reprimand.
(c) Limit the practice of the person to, or by the exclusion of,
one or more specified branches of osteopathic medicine.
(d) Suspend the license of the person to practice osteopathic
medicine for a specified period or until further order of the Board.
(e) Revoke the license of the person to practice osteopathic
medicine.
The order of the Board may contain such other terms, provisions or
conditions as the Board deems proper and which are not inconsistent
with law.
3. The Board shall not administer a private reprimand.
4. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 79. Chapter 634 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of the investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 79.3. NRS 634.018 is hereby amended to read as follows:
634.018 “Unprofessional conduct” means:
1. Obtaining a certificate upon fraudulent credentials or gross
misrepresentation.
2. Procuring, or aiding or abetting in procuring, criminal
abortion.
3. [Obtaining a fee on assurance] Assuring that a manifestly
incurable disease can be permanently cured.
4. Advertising chiropractic business in which grossly
improbable statements are made, advertising in any manner that will
tend to deceive, defraud or mislead the public or preparing, causing
to be prepared, using or participating in the use of any form of
public communication that contains professionally self-laudatory
statements calculated to attract lay patients. As used in this
subsection, “public communication” includes, but is not limited to,
communications by means of television, radio, newspapers, books
and periodicals, motion picture, handbills or other printed matter.
[Nothing contained in this subsection prohibits the direct mailing of
informational documents to former or current patients.]
5. Willful disobedience of the law, or of the regulations of the
State Board of Health or of the Chiropractic Physicians’ Board of
Nevada.
6. Conviction of any offense involving moral turpitude, or the
conviction of a felony. The record of the conviction is conclusive
evidence of unprofessional conduct.
7. Administering, dispensing or prescribing any controlled
substance.
8. Conviction or violation of any federal or state law regulating
the possession, distribution or use of any controlled substance. The
record of conviction is conclusive evidence of unprofessional
conduct.
9. Habitual intemperance or excessive use of alcohol or
alcoholic beverages or any controlled substance.
10. Conduct unbecoming a person licensed to practice
chiropractic or detrimental to the best interests of the public.
11. Violating, or attempting to violate, directly or indirectly, or
assisting in or abetting the violation of, or conspiring to violate, any
provision of this chapter or the regulations adopted by the Board, or
any other statute or regulation pertaining to the practice of
chiropractic.
12. Employing, directly or indirectly, any suspended or
unlicensed practitioner in the practice of any system or mode of
treating the sick or afflicted, or the aiding or abetting of any
unlicensed person to practice chiropractic under this chapter.
13. Repeated malpractice, which may be evidenced by claims
of malpractice settled against a practitioner.
14. Solicitation by the licensee or his designated agent of any
person who, at the time of the solicitation, is vulnerable to undue
influence, including, without limitation, any person known by the
licensee to have recently been [:
(a) Involved] involved in a motor vehicle accident [;
(b) Involved] , involved in a work-related accident [; or
(c) Injured] , or injured by, or as the result of the actions of,
another person. As used in this subsection:
(a) “Designated agent” means a person who renders service to
a licensee on a contract basis and is not an employee of the
licensee.
(b) “Solicitation” means the attempt to acquire a new patient
through information obtained from a law enforcement agency,
medical facility or the report of any other party, which
information indicates that the potential new patient may be
vulnerable to undue influence, as described in this subsection.
15. Employing, directly or indirectly, any person as a
chiropractor’s assistant unless the person has been issued a
certificate by the Board pursuant to NRS 634.123, or has applied for
such a certificate and is awaiting the determination of the Board
concerning the application.
16. Aiding, abetting, commanding, counseling, encouraging,
inducing or soliciting an insurer or other third-party payor to
reduce or deny payment or reimbursement for the care or
treatment of a patient, unless such action is supported by:
(a) The medical records of the patient; and
(b) An examination of the patient by the chiropractic physician
taking such action.
Sec. 79.5. NRS 634.090 is hereby amended to read as follows:
634.090 1. An applicant must, in addition to the requirements
of NRS 634.070 and 634.080, furnish satisfactory evidence to the
Board:
(a) That he is of good moral character;
(b) [Not] Except as otherwise provided in subsection 2, not less
than 60 days before the date of the examination, that he has a high
school education and is a graduate from a college of chiropractic
which is accredited by the Council on Chiropractic Education or
which has a reciprocal agreement with the Council on Chiropractic
Education [,] or any governmental accrediting agency, whose
minimum course of study leading to the degree of doctor of
chiropractic consists of not less than 4,000 hours of credit which
includes instruction in each of the following subjects:
(1) Anatomy;
(2) Bacteriology;
(3) Chiropractic theory and practice;
(4) Diagnosis and chiropractic analysis;
(5) Elementary chemistry and toxicology;
(6) Histology;
(7) Hygiene and sanitation;
(8) Obstetrics and gynecology;
(9) Pathology;
(10) Physiology; and
(11) Physiotherapy; and
(c) That he:
(1) Holds certificates which indicate that he has passed parts
I, II [and III,] , III and IV, and the portion relating to physiotherapy,
of the examination administered by the National Board of
Chiropractic Examiners; or
(2) Has actively practiced chiropractic in another state for not
fewer than 7 of the immediately preceding 10 years without having
any adverse disciplinary action taken against him.
2. The Board may, for good cause shown, waive the
requirement for a particular applicant that the college of
chiropractic from which the applicant graduated must be
accredited by the Council on Chiropractic Education or have a
reciprocal agreement with the Council on Chiropractic Education
or a governmental accrediting agency.
3. Except as otherwise provided in subsection [3,] 4, every
applicant is required to submit evidence of his successful
completion of not less than 60 credit hours at an accredited college
or university.
[3.]4. Any applicant who has been licensed to practice in
another state, and has been in practice for not less than 5 years, is
not required to comply with the provisions of subsection [2.]3.
Sec. 79.7. NRS 634.130 is hereby amended to read as follows:
634.130 1. Licenses and certificates must be renewed
annually. Each person who is licensed pursuant to the provisions of
this chapter must, upon the payment of the required renewal fee and
the submission of the statement required pursuant to NRS 634.095,
be granted a renewal certificate which authorizes him to continue to
practice for 1 year.
2. The renewal fee must be paid and the statement must be
submitted to the Board on or before January 1 of the year to which it
applies.
3. Except as otherwise provided in subsection 4, a licensee in
active practice within this state must submit satisfactory proof to the
Board that he has attended at least 12 hours of continuing education
which is approved or endorsed by the Board . [, with the exception
of a licensee who has reached the age of 70 years. Two hours of the
continuing education must be obtained in a topic specified by the
Board.] The educational requirement of this section may be waived
by the Board if the licensee files with the Board a statement of a
chiropractic physician, osteopathic physician or doctor of medicine
certifying that the licensee is suffering from a serious or disabling
illness or physical disability which prevented him from completing
the requirements for continuing education during the 12 months
immediately preceding the renewal date of his license.
4. A licensee is not required to comply with the requirements
of subsection 3 until the calendar year after the year the Board
issues to him an initial license to practice as a chiropractor in this
state.
5. If a licensee fails to:
(a) Pay his renewal fee by January 1;
(b) Submit the statement required pursuant to NRS 634.095 by
January 1;
(c) Submit proof of continuing education pursuant to subsection
3; or
(d) Notify the Board of a change in the location of his office
pursuant to NRS 634.129,
his license is automatically suspended and may be reinstated only
upon the payment of the required fee for reinstatement in addition to
the renewal fee.
6. If a holder of a certificate as a chiropractor’s assistant fails
to:
(a) Pay his renewal fee by January 1;
(b) Submit the statement required pursuant to NRS 634.095 by
January 1; or
(c) Notify the Board of a change in the location of his office
pursuant to NRS 634.129,
his certificate is automatically suspended and may be reinstated only
upon the payment of the required fee for reinstatement in addition to
the renewal fee.
Sec. 80. NRS 634.190 is hereby amended to read as follows:
634.190 1. The person charged is entitled to a hearing before
the Board, but the failure of the person charged to attend his hearing
or his failure to defend himself does not delay or void the
proceedings. The Board may, for good cause shown, continue any
hearing from time to time.
2. If the Board finds the person guilty as charged in the
complaint, it may by order:
(a) Place the person on probation for a specified period or until
further order of the Board.
(b) Administer to the person a public [or private] reprimand.
(c) Limit the practice of the person to, or by the exclusion of,
one or more specified branches of chiropractic.
(d) Suspend the license of the person to practice chiropractic for
a specified period or until further order of the Board.
(e) Revoke the license of the person to practice chiropractic.
(f) Impose a fine of not more than $10,000, which must be
deposited with the State Treasurer for credit to the State General
Fund.
[(g) Require the person to pay all costs incurred by the Board
relating to the discipline of the person.]
The order of the Board may contain such other terms, provisions or
conditions as the Board deems proper and which are not inconsistent
with law.
3. If the Board finds that a licensee has violated the provisions
of NRS 439B.425, the Board shall suspend his license for a
specified period or until further order of the Board.
4. The Board shall not administer a private reprimand.
5. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 80.5. NRS 634.208 is hereby amended to read as follows:
634.208 1. In addition to any other remedy provided by law,
the Board, through its President, Secretary or its attorney, or the
Attorney General, may bring an action in any court of competent
jurisdiction to enjoin any person who does not hold a license issued
by the Board from practicing chiropractic or representing himself to
be a chiropractor. As used in this subsection, “practicing
chiropractic” includes the conducting of independent
examinations and the offering of opinions regarding the treatment
or care, or both, with respect to patients who are residents of this
state.
2. The court in a proper case may issue an injunction for such
purposes without proof of actual damage sustained by any person,
this provision being a preventive as well as a punitive measure. The
issuance of such an injunction does not relieve the person from
criminal prosecution for a violation of NRS 634.227.
Sec. 81. NRS 634.212 is hereby amended to read as follows:
634.212 1. The Board shall keep a record of its proceedings
relating to licensing and disciplinary actions. [These] Except as
otherwise provided in section 79 of this act, the records must be
open to public inspection at all reasonable times and must contain
the name, known place of business and residence, and the date and
number of the license of every chiropractor licensed under this
chapter. The Board may keep such other records as it deems
desirable.
2. Except as otherwise provided in this subsection, all
information pertaining to the personal background, medical history
or financial affairs of an applicant or licensee which the Board
requires to be furnished to it under this chapter, or which it
otherwise obtains, is confidential and may be disclosed in whole or
in part only as necessary in the course of administering this chapter
or upon the order of a court of competent jurisdiction. The Board
may, under procedures established by regulation, permit the
disclosure of this information to any agent of the Federal
Government, of another state or of any political subdivision of this
state who is authorized to receive it.
3. Notice of the disclosure and the contents of the information
disclosed pursuant to subsection 2 must be given to the applicant or
licensee who is the subject of that information.
Sec. 82. Chapter 634A of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of the investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 83. NRS 634A.250 is hereby amended to read as follows:
634A.250 [1.] In addition to any other penalties prescribed
by law, the Board may, after notice and hearing, impose upon any
person who violates any provision of this chapter or the regulations
adopted pursuant thereto an administrative fine of not more than
$2,500.
[2. If discipline is imposed pursuant to this chapter, the costs of
the proceeding, including investigative costs and attorney’s fees,
may be recovered by the Board.]
Sec. 84. Chapter 635 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of the investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 85. NRS 635.130 is hereby amended to read as follows:
635.130 1. The Board, after notice and hearing, and upon any
cause enumerated in subsection 2, may take one or more of the
following disciplinary actions:
(a) Deny an application for a license or refuse to renew a
license.
(b) Suspend or revoke a license.
(c) Place a licensee on probation.
(d) Impose a fine not to exceed $5,000.
[(e) Require the licensee to pay all costs incurred by the Board
relating to the discipline of the licensee.]
2. The Board may take disciplinary action against a licensee for
any of the following causes:
(a) The making of a false statement in any affidavit required of
the applicant for application, examination or licensure pursuant to
the provisions of this chapter.
(b) Lending the use of the holder’s name to an unlicensed
person.
(c) If the holder is a podiatric physician, his permitting an
unlicensed person in his employ to practice as a podiatry hygienist.
(d) Habitual indulgence in the use of alcohol or any controlled
substance which impairs the intellect and judgment to such an extent
as in the opinion of the Board incapacitates the holder in the
performance of his professional duties.
(e) Conviction of a crime involving moral turpitude.
(f) Conviction of violating any of the provisions of NRS
616D.200, 616D.220, 616D.240 or 616D.300 to 616D.440,
inclusive.
(g) Conduct which in the opinion of the Board disqualifies him
to practice with safety to the public.
(h) The commission of fraud by or on behalf of the licensee
regarding his license or practice.
(i) Gross incompetency.
(j) Affliction of the licensee with any mental or physical
disorder which seriously impairs his competence as a podiatric
physician or podiatry hygienist.
(k) False representation by or on behalf of the licensee regarding
his practice.
(l) Unethical or unprofessional conduct.
(m) Willful or repeated violations of this chapter or regulations
adopted by the Board.
(n) Willful violation of the regulations adopted by the State
Board of Pharmacy.
Sec. 86. NRS 635.180 is hereby amended to read as follows:
635.180 Except as otherwise provided in NRS 635.167, every
person who practices podiatry or as a podiatry hygienist without
having complied with the provisions of this chapter must be fined
not more than $10,000 for each offense . [and may be required to
pay all costs incurred by the Board relating to the discipline of the
person.]
Sec. 87. Chapter 636 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 88. NRS 636.105 is hereby amended to read as follows:
636.105 1. The Executive Director shall make and keep:
(a) A record of all meetings and proceedings of the Board.
(b) A record of all prosecutions and violations of this chapter.
(c) A record of the results of all examinations of applicants.
(d) A register of all licensees.
(e) An inventory of all property of the Board and all property of
the State in the Board’s possession.
2. [All] Except as otherwise provided in section 87 of this act,
records of the Board are subject to public inspection.
3. All records of the Board must be kept in the office of the
Board.
Sec. 89. NRS 636.325 is hereby amended to read as follows:
636.325 1. Upon conclusion of the hearing, or waiver thereof
by the licensee against whom the charge is filed, the Board shall
make and announce its decision. If the Board determines that the
allegations included in the charge are true, it may[, in the exercise
of reasonable discretion,] take any one or more of the following
actions:
(a) [Reprimand] Publicly reprimand the licensee;
(b) Place the licensee on probation for a specified or unspecified
period;
(c) Suspend the licensee from practice for a specified or
unspecified period;
(d) Revoke the licensee’s license; or
(e) Impose an administrative fine pursuant to the provisions of
NRS 636.420 . [and order the licensee to pay any costs or fees
incurred by the Board in connection with the hearing.]
The Board may, in connection with a reprimand, probation or
suspension, impose such other terms or conditions as it deems
necessary.
2. If the Board determines that the allegations included in the
charge are false or do not warrant disciplinary action, it shall
dismiss the charge.
3. The Board shall not privately reprimand a licensee.
4. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 90. Chapter 637 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of the investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 91. NRS 637.085 is hereby amended to read as follows:
637.085 1. Except as otherwise provided in subsection 2, and
section 90 of this act, all applications for licensure, any charges
filed by the Board, financial records of the Board, formal hearings
on any charges heard by the Board or a panel selected by the Board,
records of the hearings and any order or decision of the Board or
panel must be open to the public.
2. [The] Except as otherwise provided in section 90 of this
act, the following may be kept confidential:
(a) Any statement, evidence, credential or other proof submitted
in support of or to verify the contents of an application.
(b) [All investigations and records of investigations.
(c)] Any report concerning the fitness of any person to receive
or hold a license to practice ophthalmic dispensing.
[(d)] (c) Any communication between:
(1) The Board and any of its committees or panels; and
(2) The Board or its staff, investigators, experts, committees,
panels, hearing officers, advisory members or consultants and
counsel for the Board.
[(e)] (d) Any other information or records in the possession of
the Board.
3. This section does not prohibit the Board from
communicating or cooperating with any other licensing board or
agency or any agency which is investigating a licensee, including a
law enforcement agency.
Sec. 92. NRS 637.150 is hereby amended to read as follows:
637.150 1. Upon proof to the satisfaction of the Board that an
applicant or holder of a license:
[1.] (a) Has been adjudicated insane;
[2.] (b) Habitually uses any controlled substance or intoxicant;
[3.] (c) Has been convicted of a crime involving moral
turpitude;
[4.] (d) 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.] (e) Has advertised in any manner which would tend to
deceive, defraud or mislead the public;
[6.] (f) Has presented to the Board any diploma, license or
certificate that has been signed or issued unlawfully or under
fraudulent representations, or obtains or has obtained a license to
practice in the State through fraud of any kind;
[7.] (g) Has been convicted of a violation of any federal or state
law relating to a controlled substance;
[8.] (h) Has violated any regulation of the Board;
[9.] (i) Has violated any provision of this chapter;
[10.] (j) Is incompetent;
[11.] (k) Is guilty of unethical or unprofessional conduct as
determined by the Board;
[12.] (l) Is guilty of repeated malpractice, which may be
evidenced by claims of malpractice settled against a practitioner; or
[13.] (m) Is guilty of a fraudulent or deceptive practice as
determined by the Board,
the Board may, in the case of an applicant, refuse to grant him a
license, or may, in the case of a holder of a license, place him on
probation, reprimand him [privately or] publicly, require him to pay
an administrative fine of not more than $10,000, suspend or revoke
his license, or take any combination of these disciplinary actions.
2. The Board shall not privately reprimand a holder of a
license.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 93. Chapter 637A of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 94. NRS 637A.290 is hereby amended to read as follows:
637A.290 1. The holder of any license issued by the Board
whose default has been entered or who has been heard by the Board
and found guilty of the violation alleged in the complaint may be
disciplined by the Board by one or more of the following methods:
(a) Placing the licensee on probation for a period not to exceed 2
years;
(b) Suspending the right of the licensee to practice, or the right
to use a license, for a period not to exceed 3 years;
(c) Revoking the license;
(d) Public [or private] reprimand;
(e) Imposition of an administrative fine not to exceed $5,000
upon a finding by the Board of more than one violation;
(f) [Requiring the licensee to pay the costs incurred by the
Board in investigating and disciplining the licensee;
(g)] Requiring the licensee to pay restitution to any person who
has suffered an economic loss as a result of a violation of the
provisions of this chapter or any regulation adopted by the Board
pursuant thereto; or
[(h)] (g) Requiring the licensee to retake and pass the
examination or otherwise demonstrate that he is qualified and
competent to practice.
2. If a license is suspended, it must be surrendered to the Board
and returned to the licensee upon termination of the period of
suspension.
3. The Board shall not issue a private reprimand.
4. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 95. Chapter 637B of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 96. NRS 637B.280 is hereby amended to read as follows:
637B.280 1. If, after the hearing, the Board determines that
the applicant or licensee has committed any act which constitutes
grounds for disciplinary action, the Board may , in the case of the
applicant , refuse to issue a license, and in all other cases:
[1.] (a) Refuse to renew a license;
[2.] (b) Revoke a license;
[3.] (c) Suspend a license for a definite time, not to exceed 1
year;
[4.] (d) Administer to the licensee a public [or private]
reprimand; or
[5.] (e) Impose a civil penalty not to exceed $1,000.
2. The Board shall not administer a private reprimand.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 97. Chapter 638 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 98. NRS 638.087 is hereby amended to read as follows:
638.087 1. The Board shall keep a record of:
(a) All charges filed against a licensee;
(b) The proceedings of any formal hearing conducted by the
Board or a hearing officer;
(c) Any order filed by the Board; and
(d) All licenses issued by the Board including the name of the
holder of the license, his business and residential addresses, the date
the license was issued and the serial number of the license.
2. [The] Except as otherwise provided in section 97 of this
act, the records of the Board listed in subsection 1 must be open to
the public at reasonable times and places.
Sec. 99. NRS 638.100 is hereby amended to read as follows:
638.100 1. Any person who desires to secure a license to
practice veterinary medicine, surgery, obstetrics or dentistry in the
State of Nevada must make written application to the Executive
Director of the Board.
2. The application must include the social security number of
the applicant and any other information required by the Board and
must be accompanied by satisfactory proof that the applicant:
(a) Is of good moral character;
(b) Except as otherwise provided in subsection 3, has received a
diploma conferring the degree of doctor of veterinary medicine or
its equivalent from a school of veterinary medicine within the
United States or Canada or, if the applicant is a graduate of a school
of veterinary medicine located outside the United States or Canada,
that he has received an educational certificate issued after
December 31, 1972, by the Educational [Committee on]
Commission for Foreign Veterinary Graduates of the American
Veterinary Medical Association;
(c) Has passed each examination required by the Board pursuant
to NRS 638.110; and
(d) Is a citizen of the United States or is lawfully entitled to
remain and work in the United States.
3. A veterinary student in his final year at a school accredited
by the American Veterinary Medical Association may submit an
application to the Board and take the state examination administered
by the Board, but the Board may not issue him a license until he has
complied with the requirements of subsection 2.
4. The application must be signed by the applicant, notarized
and accompanied by a fee set by the Board, not to exceed $500.
5. The Board may refuse to issue a license upon satisfactory
proof that the applicant has committed an act which would be a
ground for disciplinary action if the applicant were a licensee.
[6. If an applicant brings a civil action against the Board for
denial of a license and the decision of the Board is upheld, the
Board may recover all administrative expenses and attorney’s fees
and costs incurred by the Board in defending the action brought
against it.]
Sec. 100. NRS 638.147 is hereby amended to read as follows:
638.147 1. If the Board determines that any applicant for a
license or any person licensed pursuant to this chapter has
committed any of the acts which are grounds for disciplinary action,
the Board may:
[1.] (a) Refuse to issue a license.
[2.] (b) Refuse to renew a license.
[3.] (c) Revoke a license.
[4.] (d) Suspend a license for a definite period or until further
order of the Board.
[5.] (e) Impose a fine in an amount not to exceed $10,000 for
each act which constitutes a ground for disciplinary action.
[6.] (f) Place a licensee on probation subject to any reasonable
conditions imposed by the Board, including requiring courses in
continuing education or a periodic or continuous review of his
practice.
[7.] (g) Administer a public [or private reprimand.
8.] reprimand.
(h) Limit the practice of the licensee to specified branches of
veterinary medicine.
[9.] (i) Require the licensee to take a competency examination
or a mental or physical examination.
[10. Require the licensee to pay all costs incurred by the Board
in taking disciplinary action against the licensee.]
2. The Board shall not administer a private reprimand.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 101. NRS 639.2485 is hereby amended to read as
follows:
639.2485 1. [Any] Except as otherwise provided in this
section, any records or information obtained during the course of an
investigation by the Board and any record of the investigation are
confidential . [until the investigation is completed. Upon completion
of the investigation the information and records are public records,
only if:
(a) Disciplinary action is imposed by the Board as a result of the
investigation; or
(b) The person regarding whom the investigation was made
submits a written request to the Board asking that the information
and records be made public records.]
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
3. The Board may disclose to a practitioner and a law
enforcement agency information concerning a person who procures
or attempts to procure any dangerous drug or controlled substance in
violation of NRS 453.391 or 454.311.
[3.] 4. If the Board receives a request or subpoena for records
or information obtained during an investigation by the Board and
the records or information is not made public pursuant to subsection
[1,] 2, the Board shall notify the person regarding whom the
investigation was made of the request or subpoena. If that person
does not consent in writing to the release of the records or
information, the Board may release the records or information only
upon the order of a court of competent jurisdiction.
Sec. 102. NRS 639.255 is hereby amended to read as follows:
639.255 1. The holder of any certificate, license or permit
issued by the Board, whose default has been entered or who has
been heard by the Board and found guilty of the violations alleged
in the accusation, may be disciplined by the Board by one or more
of the following methods:
(a) Suspending judgment;
(b) Placing the certificate, license or permit holder on probation;
(c) Suspending the right of a certificate holder to practice, or the
right to use any license or permit, for a period to be determined by
the Board;
(d) Revoking the certificate, license or permit;
(e) Public reprimand; or
(f) Imposition of a fine for each count of the accusation, in
accordance with the schedule of fines established pursuant to
subsection 3 . [; or
(g) Requiring the certificate, license or permit holder to pay all
costs and attorney’s fees incurred by the Board relating to the
discipline of the person.]
2. Such action by the Board is final, except that the propriety of
such action is subject to review upon questions of law by a court of
competent jurisdiction.
3. The Board shall , by regulation , establish a schedule of fines
that may be imposed pursuant to paragraph (f) of subsection 1. Each
fine must be commensurate with the severity of the applicable
violation, but must not exceed $10,000 for each violation.
4. The Board shall not issue a private reprimand.
5. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 103. NRS 640.075 is hereby amended to read as follows:
640.075 1. [Any] Except as otherwise provided in this
section, any records or information obtained during the course of an
investigation by the Board and any record of the investigation are
confidential . [until the investigation is completed. Upon completion
of the investigation the information and records are public records,
only if:
(a) Disciplinary action is imposed by the Board as a result of the
investigation; or
(b) The person regarding whom the investigation was made
submits a written request to the Board asking that the information
and records be made public records.]
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
3. This section does not prevent or prohibit the Board from
communicating or cooperating with another licensing board or any
agency that is investigating a licensee, including a law enforcement
agency.
4. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 104. NRS 640.160 is hereby amended to read as follows:
640.160 1. The Board, after [due] notice and hearing, and
upon any ground enumerated in subsection 2, may take one or more
of the following actions:
(a) Refuse to issue a license or temporary license to any
applicant.
(b) Refuse to renew the license or temporary license of any
person.
(c) Suspend or revoke the license or temporary license of any
person.
(d) Place any person who has been issued a license or temporary
license on probation.
(e) Impose an administrative fine which does not exceed $5,000
on any person who has been issued a license.
[(f) Require any person who has been issued a license to pay all
costs incurred by the Board relating to the discipline of the person.]
2. The Board may take action pursuant to subsection 1 if an
applicant or person who has been licensed pursuant to this chapter:
(a) Is habitually drunk or is addicted to the use of a controlled
substance.
(b) Has been convicted of violating any state or federal law
relating to controlled substances.
(c) Is, in the judgment of the Board, guilty of immoral or
unprofessional conduct.
(d) Has been convicted of any crime involving moral turpitude.
(e) Has been convicted of violating any of the provisions of
NRS 616D.200, 616D.220, 616D.240 or 616D.300 to 616D.440,
inclusive.
(f) Is guilty, in the judgment of the Board, of gross negligence in
his practice as a physical therapist which may be evidenced by
claims of malpractice settled against a practitioner.
(g) Has obtained or attempted to obtain a license by fraud or
material misrepresentation.
(h) Has been declared insane by a court of competent
jurisdiction and has not thereafter been lawfully declared sane.
(i) Has entered into any contract or arrangement which provides
for the payment of an unearned fee to any person following his
referral of a patient.
(j) Has employed as a physical therapist any unlicensed physical
therapist or physical therapist whose license has been suspended.
(k) Has had his license to practice physical therapy suspended,
revoked or in any way limited by another jurisdiction.
(l) Is determined to be professionally incompetent by the Board.
(m) Has violated any provision of this chapter or the Board’s
regulations.
Sec. 105. 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. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
4. 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 moral turpitude; and
(c) The violation of any provision of this chapter or regulation
of the Board adopted pursuant to this chapter.
Sec. 106. NRS 640A.220 is hereby amended to read as
follows:
640A.220 [Any]
1. Except as otherwise provided in this section, any records or
information obtained during the course of an investigation by the
Board are confidential . [until the investigation is completed. Upon
completion of the investigation, the records and information are
public records if:
1. Disciplinary action is imposed by the Board as a result of the
investigation; or
2. The person under investigation submits a written request to
the Board asking that the information and records be made]
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 107. NRS 641.090 is hereby amended to read as follows:
641.090 1. The Secretary-Treasurer shall make and keep on
behalf of the Board:
(a) A record of all its meetings and proceedings.
(b) A record of all violations and prosecutions under the
provisions of this chapter.
(c) A record of all examinations of applicants.
(d) A register of all licenses.
(e) A register of all holders of licenses.
(f) An inventory of the property of the Board and of the State in
the Board’s possession.
2. These records must be kept in the office of the Board and ,
except as otherwise provided in NRS 641.255, are subject to public
inspection during normal working hours upon reasonable notice.
3. The Board may keep the personnel records of applicants
confidential.
Sec. 108. NRS 641.240 is hereby amended to read as follows:
641.240 1. If the Board, a panel of its members or a hearing
officer appointed by the Board finds the person guilty as charged in
the complaint, it may:
[1.] (a) Administer a public [or private reprimand.
2.] reprimand.
(b) Limit his practice.
[3.] (c) Suspend his license for a period of not more than 1 year.
[4.] (d) Revoke his license.
[5.] (e) Impose a fine of not more than $5,000.
[6.] (f) Revoke or suspend his license and impose a monetary
penalty.
[7.] (g) Suspend the enforcement of any penalty by placing him
on probation. The Board may revoke the probation if the person
does not follow any conditions imposed.
[8.] (h) Require the person to submit to the supervision of or
counseling or treatment by a person designated by the Board. The
person named in the complaint is responsible for any expense
incurred.
[9.] (i) Impose and modify any conditions of probation for the
protection of the public or the rehabilitation of the probationer.
[10.] (j) Require the person to pay for the costs of remediation
or restitution.
[11. Assess the costs of the disciplinary proceedings, including
any investigations.]
2. The Board shall not administer a private reprimand.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 109. NRS 641.255 is hereby amended to read as follows:
641.255 [All]
1. Except as otherwise provided in subsection 2, all
complaints filed with the Board , all information relating to a
complaint and all information relating to an investigation
conducted to determine whether to initiate disciplinary action are
confidential, except to the extent necessary for the conduct of an
investigation . [, until the Board determines whether to proceed with
any action authorized under this chapter. If the Board proceeds with
any action, confidentiality is no longer required.]
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 110. NRS 641A.191 is hereby amended to read as
follows:
641A.191 1. [Any] Except as otherwise provided in this
section, any records or information obtained during the course of an
investigation by the Board and any record of the investigation are
confidential . [until the investigation is completed. Except as
otherwise provided in NRS 641A.315, upon completion of the
investigation the information and records are public records, only if:
(a) Disciplinary action is imposed by the Board as a result of the
investigation; or
(b) The person regarding whom the investigation was made
submits a written request to the Board asking that the information
and records be made public records.]
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
3. This section does not prohibit the Board from
communicating or cooperating with any other licensing board or
agency or any agency which is investigating a licensee, including a
law enforcement agency.
Sec. 111. NRS 641A.320 is hereby amended to read as
follows:
641A.320 1. The Board may discipline the holder of any
license whose default has been entered or who has been heard by the
Board and found guilty, by any of the following methods:
[1.] (a) Placing him upon probation for a period to be
determined by the Board.
[2.] (b) Suspending his license for not more than 1 year.
[3.] (c) Revoking his license.
[4.] (d) Administering a [private or] public reprimand.
[5.] (e) Limiting his practice.
[6.] (f) Imposing an administrative fine of not more than
$5,000.
[7.] (g) Requiring him to complete successfully another
examination.
[8. Requiring him to pay the costs incurred by the Board to
conduct the hearing.]
2. The Board shall not administer a private reprimand.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 112. NRS 641B.430 is hereby amended to read as
follows:
641B.430 1. The defendant licensee must be accorded the
right to appear at the hearing of a complaint conducted by the Board
in person and through the representation of legal counsel. He must
be given adequate opportunity to confront the witnesses against him,
testify and introduce the testimony of witnesses in his behalf and
submit arguments and briefs in person or through his counsel. The
Board shall make and announce its decision as soon as practicable.
2. The failure of the person charged to attend his hearing or
defend himself must not delay and does not void the proceedings.
The Board may, for good cause shown, continue any hearing from
time to time.
3. If the Board finds the person guilty as charged in the
complaint, it may by order:
(a) Place the person on probation for a specified period or until
further order of the Board.
(b) Administer to the person a public [or private] reprimand.
(c) Limit the practice of the person to, or by exclusion of, one or
more specified branches of social work.
(d) Suspend the license of the person to practice social work for
a specified period or until further order of the Board.
(e) Revoke the license of the person to practice social work.
(f) Impose a fine of not more than $5,000, which must be
deposited with the State Treasurer for credit to the State General
Fund.
[(g) Require the person to pay all costs incurred by the Board
relating to the discipline of the person.]
The order of the Board may contain other terms, provisions or
conditions as the Board deems proper and which are not inconsistent
with law.
4. The Board shall not administer a private reprimand.
5. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 113. NRS 641C.720 is hereby amended to read as
follows:
641C.720 1. The Board or any of its members who become
aware of any ground for initiating disciplinary action against a
person engaging in the practice of counseling alcohol and drug
abusers in this state shall, and any other person who is so aware
may, file a written complaint specifying the relevant facts with the
Board. The complaint must specifically charge one or more of the
grounds for initiating disciplinary action.
2. As soon as practicable after the filing of the complaint, the
Board shall set a date for a hearing thereon. The date must not be
earlier than 30 days after the complaint is filed, except that the date
may be changed upon agreement of the parties. The Board shall
immediately notify the licensed or certified counselor or certified
intern of the complaint and the date and place set for the hearing. A
copy of the complaint must be attached to the notice.
3. The failure of the licensed or certified counselor or certified
intern to appear at the hearing does not delay or void the proceeding.
4. The Board may, for good cause, continue a hearing from
time to time.
5. If, after notice and a hearing, the Board determines that the
licensed or certified counselor or certified intern has violated a
provision of this chapter or any regulation adopted pursuant to this
chapter, it may:
(a) Administer a public [or private] reprimand;
(b) Suspend his license or certificate and impose conditions for
the removal of the suspension;
(c) Revoke his license or certificate and prescribe the
requirements for the reinstatement of the license or certificate;
(d) If he is a licensed or certified counselor, require him to be
supervised by another person while he engages in the practice of
counseling alcohol and drug abusers;
(e) Require him to participate in treatment or counseling and pay
the expenses of that treatment or counseling;
(f) Require him to pay restitution to any person adversely
affected by his acts or omissions;
(g) Impose a fine of not more than $5,000; or
(h) [Require him to pay the costs of the Board for the
investigation and hearing; or
(i)] Take any combination of the actions authorized by
paragraphs (a) to [(h),] (g), inclusive.
6. If his license or certificate is revoked or suspended pursuant
to subsection 5, the licensed or certified counselor or certified intern
may apply to the Board for a rehearing within 10 days after the
license or certificate is revoked or suspended. The licensed or
certified counselor or certified intern may apply to the Board for
reinstatement of his revoked license or certificate not earlier than 1
year after the license or certificate is revoked. The Board may
accept or reject the application and may require the successful
completion of an examination as a condition of reinstatement of the
license or certificate.
7. The Board shall not administer a private reprimand.
8. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 114. NRS 641C.760 is hereby amended to read as
follows:
641C.760 1. [Any] Except as otherwise provided in this
section, any records or information obtained during the course of an
investigation by the Board and any record of the investigation are
confidential . [until the investigation is completed. Upon completion
of the investigation, the information and records are public records
if:
(a) Disciplinary action is imposed by the Board as a result of the
investigation; or
(b) The person regarding whom the investigation was made
submits a written request to the Board asking that the information
and records be made public records.]
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
3. If the Board receives a request or subpoena for records or
information obtained during an investigation by the Board and the
records or information is not made public pursuant to subsection [1,]
2, the Board shall notify the person regarding whom the
investigation was made of the request or subpoena. If that person
does not consent in writing to the release of the records or
information, the Board may release the records or information only
upon the order of a court of competent jurisdiction.
Sec. 115. Chapter 642 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 116. NRS 642.135 is hereby amended to read as follows:
642.135 1. If the Board determines that a person who is
licensed to practice the profession of embalming pursuant to this
chapter has committed any of the acts set forth in NRS 642.130, the
Board may:
[1.] (a) Refuse to renew his license;
[2.] (b) Revoke his license;
[3.] (c) Suspend his license for a definite period or until further
order of the Board;
[4.] (d) Impose a fine of not more than $5,000 for each act
which constitutes a ground for disciplinary action;
[5.] (e) Place him on probation for a definite period subject to
any reasonable conditions imposed by the Board;
[6.] (f) Administer a public [or private reprimand;
7. Require him to pay the costs incurred by the Board in taking
disciplinary action against him; or
8.] reprimand; or
(g) Impose any combination of disciplinary actions set forth in
this section.
2. The Board shall not administer a private reprimand.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 117. NRS 642.473 is hereby amended to read as follows:
642.473 1. If the Board determines that 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 has
committed any of the acts set forth in NRS 642.470, the Board may:
(a) Refuse to renew his license or permit;
(b) Revoke his license or permit;
(c) Suspend his license or permit for a definite period or until
further order of the Board;
(d) Impose a fine of not more than $5,000 for each act that
constitutes a ground for disciplinary action;
(e) Place him on probation for a definite period subject to any
reasonable conditions imposed by the Board;
(f) Administer a public [or private] reprimand; or
(g) [Require him to pay the costs incurred by the Board in taking
disciplinary action against him; or
(h)] Impose any combination of disciplinary actions set forth in
paragraphs (a) to [(g),] (f), inclusive.
2. Before the Board may refuse to renew, or suspend or revoke
a license or permit for any of the acts set forth in NRS 642.470, the
Board shall give at least 10 days’ notice in writing to the licensee or
holder of the permit. The notice must contain a brief statement of
the reasons for the proposed action of the Board and designate a
time and place for a hearing before any final action is taken.
3. The Board shall not administer a private reprimand.
4. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 118. Chapter 643 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 119. 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.
(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; and
(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.]
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 120. Chapter 644 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 121. NRS 644.080 is hereby amended to read as follows:
644.080 The Board:
1. Shall prescribe the duties of its officers, examiners and
employees, and fix the compensation of those employees.
2. May establish offices in as many localities in the State as it
finds necessary to carry out the provisions of this chapter. All
records and files of the Board must be kept at the main office of the
Board and , except as otherwise provided in section 120 of this act,
be open to public inspection at all reasonable hours.
3. May adopt a seal.
4. May issue subpoenas to compel the attendance of witnesses
and the production of books and papers.
Sec. 122. NRS 644.430 is hereby amended to read as follows:
644.430 1. The following are grounds for disciplinary action
by the Board:
(a) Failure of an owner of a cosmetological establishment, a
licensed aesthetician, cosmetologist, hair designer, electrologist,
instructor, manicurist, demonstrator of cosmetics or school of
cosmetology, or a cosmetologist’s apprentice to comply with the
requirements of this chapter or the applicable regulations adopted by
the Board.
(b) Obtaining practice in cosmetology or any branch thereof, for
money or any thing of value, by fraudulent misrepresentation.
(c) Gross malpractice.
(d) Continued practice by a person knowingly having an
infectious or contagious disease.
(e) Drunkenness or the use or possession, or both, of a
controlled substance or dangerous drug without a prescription, while
engaged in the practice of cosmetology.
(f ) Advertisement by means of knowingly false or deceptive
statements.
(g) Permitting a license to be used where the holder thereof is
not personally, actively and continuously engaged in business.
(h) Failure to display the license as provided in NRS 644.290,
644.360 and 644.410.
(i) Entering, by a school of cosmetology, into an unconscionable
contract with a student of cosmetology.
(j ) Continued practice of cosmetology or operation of a
cosmetological establishment or school of cosmetology after the
license therefor has expired.
(k) Any other unfair or unjust practice, method or dealing
which, in the judgment of the Board, may justify such action.
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) Place the licensee on probation for a specified period; or
(d) Impose a fine not to exceed $1,000.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 123. Chapter 645 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Commission alleging a violation of this chapter, all
documents and other information filed with the complaint and all
documents and other information compiled as a result of an
investigation conducted to determine whether to initiate
disciplinary action are confidential.
2. The complaint or other document filed by the Commission
to initiate disciplinary action and all documents and information
considered by the Commission when determining whether to
impose discipline are public records.
Sec. 124. NRS 645.180 is hereby amended to read as follows:
645.180 1. The Division shall adopt a seal by which it shall
authenticate its proceedings.
2. [Records] Except as otherwise provided in section 123 of
this act, records kept in the office of the Division under authority of
this chapter are open to public inspection under regulations adopted
by the [Real Estate] Division, except that the Division may refuse to
make public, unless ordered to do so by a court:
(a) Real estate brokers’ and real estate salesmen’s examinations;
and
(b) [Files compiled by the Division while investigating possible
violations of this chapter or chapter 119 of NRS; and
(c)] The criminal and financial records of licensees, applicants
for licenses and owner-developers.
3. Copies of all records and papers in the office of the Division,
certified and authenticated by the seal of the Division, must be
received in evidence in all courts equally and with like effect as the
originals.
Sec. 125. NRS 645.630 is hereby amended to read as follows:
645.630 1. The Commission may require a licensee, property
manager or owner-developer to pay an administrative fine of not
more than $5,000 for each violation he commits or suspend, revoke,
deny the renewal of or place conditions upon his license, permit or
registration, or impose any combination of those actions, at any time
if the licensee, property-manager or owner-developer has, by false
or fraudulent representation, obtained a license, permit or
registration, or the licensee, property manager or owner-developer,
whether or not acting as such, is found guilty of:
[1.] (a) Making any material misrepresentation.
[2.] (b) Making any false promises of a character likely to
influence, persuade or induce.
[3.] (c) Accepting a commission or valuable consideration as a
real estate broker-salesman or salesman for the performance of any
of the acts specified in this chapter or chapter 119 or 119A of NRS
from any person except the licensed real estate broker with whom he
is associated or the owner-developer by whom he is employed.
[4.] (d) Representing or attempting to represent a real estate
broker other than the broker with whom he is associated, without the
express knowledge and consent of the broker with whom he is
associated.
[5.] (e) Failing to maintain, for review and audit by the
Division, each brokerage agreement governed by the provisions of
this chapter and entered into by the licensee.
[6.] (f) Failing, within a reasonable time, to account for or to
remit any money which comes into his possession and which
belongs to others.
[7.] (g) If he is required to maintain a trust account:
[(a)] (1) Failing to balance the trust account at least monthly;
and
[(b)] (2) Failing to submit to the Division an annual accounting
of the trust account as required in NRS 645.310.
[8.] (h) Commingling the money or other property of his clients
with his own or converting the money of others to his own use.
[9.] (i) In the case of a broker-salesman or salesman, failing to
place in the custody of his licensed broker or owner-developer, as
soon as possible, any deposit or other money or consideration
entrusted to him by any person dealing with him as the
representative of his licensed broker.
[10.] (j) Accepting other than cash as earnest money unless that
fact is communicated to the owner before his acceptance of the offer
to purchase and that fact is shown in the receipt for the earnest
money.
[11.] (k) Upon acceptance of an agreement, in the case of a
broker, failing to deposit any check or cash received as earnest
money before the end of the next banking day unless otherwise
provided in the purchase agreement.
[12.] (l) Inducing any party to a brokerage agreement, sale or
lease to break it in order to substitute a new brokerage agreement,
agreement of sale or lease with the same or another party if the
inducement to make the substitution is offered to secure personal
gain to the licensee or owner-developer.
[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.]
2. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 126. NRS 645.990 is hereby amended to read as follows:
645.990 1. A person who:
(a) Obtains or attempts to obtain a license pursuant to this
chapter by means of intentional misrepresentation, deceit or fraud;
or
(b) Sells or attempts to sell in this state any interest in real
property by means of intentional misrepresentation, deceit or
fraud,
is guilty of a category D felony and shall be punished as provided in
NRS 193.130. In addition to any other penalty, the court shall order
the person to pay restitution.
2. Any licensee, permittee or owner-developer who commits an
act described in NRS 645.630, 645.633 or 645.635 shall be punished
by a fine of not more than $5,000 for each offense.
3. A person who violates any other provision of this chapter, if
a natural person, is guilty of a gross misdemeanor, and if a limited-
liability company, partnership, association or corporation, shall be
punished by a fine of not more than $2,500.
4. Any officer or agent of a corporation, or member or agent of
a limited-liability company, partnership or association, who
personally participates in or is an accessory to any violation of this
chapter by the limited-liability company, partnership, association or
corporation, is subject to the penalties prescribed in this section for
natural persons.
5. The provisions of this section do not release a person from
civil liability or criminal prosecution pursuant to the general laws of
this state.
6. The Administrator may prefer a complaint for violation of
NRS 645.230 before any court of competent jurisdiction and may
take the necessary legal steps through the proper legal officers of
this state to enforce the provisions thereof.
7. Any court of competent jurisdiction may try any violation of
this chapter, and upon conviction, the court may revoke or suspend
the license of the person so convicted, in addition to imposing the
other penalties provided in this section.
[8. 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 Administrator.]
Sec. 127. Chapter 645A of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Commissioner, all documents and other information
filed with the complaint and all documents and other information
compiled as a result of the investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the
Commissioner to initiate disciplinary action and all documents
and information considered by the Commissioner when
determining whether to impose discipline are public records.
Sec. 128. NRS 645A.050 is hereby amended to read as
follows:
645A.050 1. Subject to the administrative control of the
Director of the Department of Business and Industry, the
Commissioner shall exercise general supervision and control over
escrow agents and agencies doing business in the State of Nevada.
2. In addition to the other duties imposed upon him by law, the
Commissioner shall:
(a) Adopt such regulations as may be necessary for making this
chapter effective.
(b) Conduct or cause to be conducted each year an examination
of each escrow agency licensed pursuant to this chapter.
(c) Conduct such investigations as may be necessary to
determine whether any person has violated any provision of this
chapter.
(d) Conduct such examinations, investigations and hearings, in
addition to those specifically provided for by law, as may be
necessary and proper for the efficient administration of the laws of
this state relating to escrow.
(e) Classify as confidential the financial statements of an escrow
agency and those records and information obtained by the Division
which:
(1) Are obtained from a governmental agency upon the
express condition that they remain confidential.
(2) [Consist] Except as otherwise provided in section 127 of
this act, consist of information compiled by the Division in the
investigation of possible violations of this chapter.
This paragraph does not limit examination by the Legislative
Auditor or any other person pursuant to a court order.
3. An escrow agency may engage a certified public accountant
to perform such an examination in lieu of the Division. In such a
case, the examination must be equivalent to the type of examination
made by the Division and the expense must be borne by the escrow
agency being examined.
4. The Commissioner shall determine whether an examination
performed by an accountant pursuant to subsection 3 is equivalent to
an examination conducted by the Division. The Commissioner may
examine any area of the operation of an escrow agency if the
Commissioner determines that the examination of that area is not
equivalent to an examination conducted by the Division.
Sec. 129. 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 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.
5. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 130. Chapter 645B of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Commissioner, all documents and other information
filed with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the
Commissioner to initiate disciplinary action and all documents
and information considered by the Commissioner when
determining whether to impose discipline are public records.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 131. NRS 645B.070 is hereby amended to read as
follows:
645B.070 1. In the conduct of any examination, periodic or
special audit, investigation or hearing, the Commissioner may:
(a) Compel the attendance of any person by subpoena.
(b) Administer oaths.
(c) Examine any person under oath concerning the business and
conduct of affairs of any person subject to the provisions of this
chapter and in connection therewith require the production of any
books, records or papers relevant to the inquiry.
2. Any person subpoenaed under the provisions of this section
who willfully refuses or willfully neglects to appear at the time and
place named in the subpoena or to produce books, records or papers
required by the Commissioner, or who refuses to be sworn or
answer as a witness, is guilty of a misdemeanor and shall be
punished as provided in NRS 645B.950.
3. [The] In addition to the authority to recover attorney’s fees
and costs pursuant to any other statute, the Commissioner may
assess against and collect from a person all costs, including, without
limitation, reasonable attorney’s fees, that are attributable to any
examination, periodic or special audit, investigation or hearing that
is conducted to examine or investigate the conduct, activities or
business of the person pursuant to this chapter.
Sec. 132. NRS 645B.090 is hereby amended to read as
follows:
645B.090 1. Except as otherwise provided in this section or
by specific statute, all papers, documents, reports and other written
instruments filed with the Commissioner pursuant to this chapter are
open to public inspection.
2. Except as otherwise provided in subsection 3, the
Commissioner may withhold from public inspection or refuse to
disclose to a person, for such time as the Commissioner considers
necessary, any information that, in his judgment, would:
(a) Impede or otherwise interfere with an investigation that is
currently pending against a mortgage broker;
(b) Have an undesirable effect on the welfare of the public or the
welfare of any mortgage broker or mortgage agent; or
(c) Give any mortgage broker a competitive advantage over any
other mortgage broker.
3. [The] Except as otherwise provided in section 130 of this
act, the Commissioner shall disclose the following information
concerning a mortgage broker to any person who requests it:
(a) The findings and results of any investigation which has been
completed during the immediately preceding 5 years against the
mortgage broker pursuant to the provisions of this chapter and
which has resulted in a finding by the Commissioner that the
mortgage broker committed a violation of a provision of this
chapter, a regulation adopted pursuant to this chapter or an order of
the Commissioner; and
(b) The nature of any disciplinary action that has been taken
during the immediately preceding 5 years against the mortgage
broker pursuant to the provisions of this chapter.
Sec. 133. NRS 645B.610 is hereby amended to read as
follows:
645B.610 1. If a person properly files a complaint with the
Commissioner pursuant to NRS 645B.600, the Commissioner shall
investigate each violation alleged in the complaint, unless the
Commissioner has previously investigated the alleged violation.
2. Except as otherwise provided in subsection 2 of NRS
645B.090, if the Commissioner does not conduct an investigation of
an alleged violation pursuant to subsection 1 because he previously
has investigated the alleged violation, the Commissioner shall
provide to the person who filed the complaint a written summary of
the previous investigation and the nature of any disciplinary action
that was taken as a result of the previous investigation.
3. If the Commissioner conducts an investigation of an alleged
violation pursuant to subsection 1, the Commissioner shall
determine from the investigation whether there is reasonable cause
to believe that the person committed the alleged violation.
4. If, upon investigation, the Commissioner determines that
there is not reasonable cause to believe that the person committed
the alleged violation, the Commissioner shall provide the reason for
his determination, in writing, to the person who filed the complaint
and to the person alleged to have committed the violation.
5. Except as otherwise provided in subsection 6, if, upon
investigation, the Commissioner determines that there is reasonable
cause to believe that the person committed the alleged violation, the
Commissioner shall:
(a) Schedule a hearing concerning the alleged violation;
(b) Mail to the last known address of the person who filed the
complaint written notice that must include, without limitation:
(1) The date, time and place of the hearing; and
(2) A statement of each alleged violation that will be
considered at the hearing; and
(c) By personal service in accordance with the Nevada Rules of
Civil Procedure and any applicable provision of NRS, serve written
notice of the hearing to the person alleged to have committed the
violation. The written notice that is served pursuant to this
paragraph must include, without limitation:
(1) The date, time and place of the hearing;
(2) A copy of the complaint and a statement of each alleged
violation that will be considered at the hearing; and
(3) A statement informing the person that, pursuant to NRS
645B.760, if he fails to appear, without reasonable cause, at the
hearing:
(I) He is guilty of a misdemeanor; and
(II) The Commissioner is authorized to conduct the
hearing in his absence, draw any conclusions that the Commissioner
deems appropriate from his failure to appear and render a decision
concerning each alleged violation.
6. [The Commissioner is not required to schedule or conduct a
hearing concerning an alleged violation pursuant to subsection 5 if
the Commissioner and the person alleged to have committed the
violation enter] If the Commissioner enters into a written consent
agreement settling or resolving the alleged violation , [. If such a
written consent agreement is executed,] the Commissioner shall
provide a copy of the written consent agreement to the person who
filed the complaint.
7. The Commissioner may:
(a) Investigate and conduct a hearing concerning any alleged
violation, whether or not a complaint has been filed.
(b) Hear and consider more than one alleged violation against a
person at the same hearing.
Sec. 134. Chapter 645C of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Commission, all documents and other information
filed with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Commission
to initiate disciplinary action and all documents and information
considered by the Commission when determining whether to
impose discipline are public records.
Sec. 135. NRS 645C.220 is hereby amended to read as
follows:
645C.220 1. The Division shall maintain a record of:
(a) Persons whose applications for a certificate, license or
registration card have been denied;
(b) Investigations conducted by it which result in the initiation
of formal disciplinary proceedings;
(c) Formal disciplinary proceedings; and
(d) Rulings or decisions upon complaints filed with it.
2. Except as otherwise provided in this section, and section
134 of this act, records kept in the office of the Division pursuant to
this chapter are open to the public for inspection pursuant to
regulations adopted by the Commission. The Division may keep
confidential, unless otherwise ordered by a court:
(a) Examinations for a certificate or license; and
(b) [Information obtained by the Division while investigating
alleged violations of this chapter; and
(c)] The criminal and financial records of an appraiser or intern,
or an applicant for a certificate, license or registration card.
Sec. 136. 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 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.] An order that imposes
discipline and the findings of fact and conclusions of law
supporting that order are public records.
Sec. 137. Chapter 645D of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Division, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Division to
initiate disciplinary action and all documents and information
considered by the Division when determining whether to impose
discipline are public records.
Sec. 138. NRS 645D.130 is hereby amended to read as
follows:
645D.130 1. The Division shall maintain a record of:
(a) Persons from whom it receives applications for a certificate;
(b) Investigations conducted by it that result in the initiation of
formal disciplinary proceedings;
(c) Formal disciplinary proceedings; and
(d) Rulings or decisions upon complaints filed with it.
2. Except as otherwise provided in this section [,] and section
137 of this act, records kept in the office of the Division pursuant to
this chapter are open to the public for inspection pursuant to
regulations adopted by the Division. The Division shall keep
confidential, unless otherwise ordered by a court[:
(a) Information obtained by the Division while investigating
alleged violations of this chapter; and
(b) The] , the criminal and financial records of an inspector or of
an applicant for a certificate.
Sec. 139. NRS 645D.700 is hereby amended to read as
follows:
645D.700 1. Grounds for disciplinary action against a
certified inspector are:
(a) Unprofessional conduct;
(b) Professional incompetence; and
(c) A criminal conviction for a felony or any offense involving
moral turpitude.
2. If grounds for disciplinary action against a certified
inspector exist, the Division may, after providing the inspector with
notice and an opportunity for a hearing, do one or more of the
following:
(a) Revoke or suspend his certificate.
(b) Place conditions upon his certificate or upon the reissuance
of a certificate revoked pursuant to this section.
(c) Deny the renewal of his certificate
(d) Impose a fine of not more than $1,000 for each violation.
3. If a certificate is revoked by the Division, another certificate
must not be issued to the same inspector 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 inspector
satisfies the requirements for an original certificate.
4. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 140. Chapter 645E of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Commissioner, all documents and other information
filed with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the
Commissioner to initiate disciplinary action and all documents
and information considered by the Commissioner when
determining whether to impose discipline are public records.
Sec. 141. NRS 645E.310 is hereby amended to read as
follows:
645E.310 1. In the conduct of any examination, periodic or
special audit, investigation or hearing, the Commissioner may:
(a) Compel the attendance of any person by subpoena.
(b) Administer oaths.
(c) Examine any person under oath concerning the business and
conduct of affairs of any person subject to the provisions of this
chapter and , in connection therewith , require the production of any
books, records or papers relevant to the inquiry.
2. Any person subpoenaed under the provisions of this section
who willfully refuses or willfully neglects to appear at the time and
place named in the subpoena or to produce books, records or papers
required by the Commissioner, or who refuses to be sworn or
answer as a witness, is guilty of a misdemeanor.
3. [The] In addition to the authority to recover attorney’s fees
and costs pursuant to any other statute, the Commissioner may
assess against and collect from a person all costs, including, without
limitation, reasonable attorney’s fees, that are attributable to any
examination, periodic or special audit, investigation or hearing that
is conducted to examine or investigate the conduct, activities or
business of the person pursuant to this chapter.
Sec. 142. 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 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.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 143. NRS 648.034 is hereby amended to read as follows:
648.034 1. [Any] Except as otherwise provided in this
section, any records or information obtained during the course of an
investigation of a licensee by the Board and any record of the
investigation are confidential . [until the investigation is completed.
Upon completion of the investigation the information and records
are public records, only if:
(a) Disciplinary action is imposed by the Board as a result of the
investigation; or
(b) The person regarding whom the investigation was made
submits a written request to the Board asking that the information
and records be made public records.]
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
3. This section does not prevent or prohibit the Board from
communicating or cooperating with another licensing board or any
agency that is investigating a licensee, including a law enforcement
agency.
Sec. 144. NRS 648.175 is hereby amended to read as follows:
648.175 1. If, after a hearing, the Board finds that cause
exists, the Board may:
[1.] (a) Revoke the license of the licensee.
[2.] (b) Suspend the license of the licensee for not more than 1
year for each violation.
[3.] (c) Fine the licensee not more than $5,000 for each
violation.
[4.] (d) Suspend an order authorized by this section upon such
terms and conditions as the Board considers appropriate.
[5.] (e) Place the licensee on probation for not more than 2
years upon such terms and conditions as the Board considers
appropriate.
[6. Publicly or privately]
(f) Publicly reprimand the licensee.
[7.] (g) Affirm, modify or vacate the penalty imposed by a
notice of violation.
[8. Require the licensee to pay all costs incurred by the Board
relating to the discipline of the licensee.]
2. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 145. Chapter 649 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Commissioner, all documents and other information
filed with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the
Commissioner to initiate disciplinary action and all documents
and information considered by the Commissioner when
determining whether to impose discipline are public records.
Sec. 146. NRS 649.395 is hereby amended to read as follows:
649.395 1. The Commissioner may impose an administrative
fine, not to exceed $500 for each violation, or suspend or revoke the
license of a collection agency, or both impose a fine and suspend or
revoke the license, by an order made in writing and filed in his
office and served on the licensee by registered or certified mail at
the address shown in the records of the Commissioner, if:
(a) The licensee is adjudged liable in any court of law for breach
of any bond given under the provisions of this chapter; or
(b) After notice and hearing, the licensee is found guilty of:
(1) Fraud or misrepresentation;
(2) An act or omission inconsistent with the faithful
discharge of his duties and obligations; or
(3) A violation of any provision of this chapter.
2. The Commissioner may suspend or revoke the license of a
collection agency without notice and hearing if:
(a) The suspension or revocation is necessary for the immediate
protection of the public; and
(b) The licensee is afforded a hearing to contest the suspension
or revocation within 20 days after the written order of suspension or
revocation is served upon the licensee.
3. Upon revocation of his license, all rights of the licensee
under this chapter terminate, and no application may be received
from any person whose license has once been revoked.
4. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 147. Chapter 652 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 148. Chapter 654 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
Sec. 149. NRS 654.110 is hereby amended to read as follows:
654.110 1. The Board shall:
(a) Develop, impose and enforce standards which must be met
by persons to receive licenses as nursing facility administrators or
administrators of residential facilities for groups. The standards
must be designed to ensure that nursing facility administrators or
persons acting as administrators of residential facilities for groups
will be persons who are of good character and otherwise suitable,
and who, by training or experience in their respective fields of
administering health care facilities, are qualified to serve as nursing
facility administrators or administrators of residential facilities for
groups.
(b) Develop and apply appropriate techniques, including
examinations and investigations, for determining whether a person
meets those standards.
(c) Issue licenses to persons determined, after the application of
appropriate techniques, to meet those standards.
(d) Revoke or suspend licenses previously issued by the Board
in any case if the person holding the license is determined
substantially to have failed to conform to the requirements of the
standards.
(e) Establish and carry out procedures designed to ensure that
persons licensed as nursing facility administrators or administrators
of residential facilities for groups will, during any period they serve
as such, comply with the requirements of the standards.
(f) Receive, investigate and take appropriate action with respect
to any charge or complaint filed with the Board to the effect that any
person licensed as a nursing facility administrator or an
administrator of a residential facility for groups has failed to comply
with the requirements of the standards. The Board shall initiate an
investigation of any charge or complaint filed with the Board within
30 days after receiving the charge or complaint.
(g) Conduct a continuing study of:
(1) Facilities for skilled nursing, facilities for intermediate
care and their administrators; and
(2) Residential facilities for groups and their
administrators,
with a view to the improvement of the standards imposed for the
licensing of administrators and of procedures and methods for the
enforcement of the standards.
(h) Conduct or approve, or both, a program of training and
instruction designed to enable all persons to obtain the qualifications
necessary to meet the standards set by the Board for qualification as
a nursing facility administrator or an administrator of a residential
facility for groups.
2. All the records kept by the Board, not otherwise privileged
[,] or confidential, are public records.
Sec. 150. 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, 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.] An order that imposes discipline
and the findings of fact and conclusions of law supporting that
order are public records.
Sec. 151. Chapter 656 of NRS is hereby amended by adding
thereto a new section to read as follows:
1. Except as otherwise provided in this section, a complaint
filed with the Board, all documents and other information filed
with the complaint and all documents and other information
compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. The complaint or other document filed by the Board to
initiate disciplinary action and all documents and information
considered by the Board when determining whether to impose
discipline are public records.
3. An order that imposes discipline and the findings of fact
and conclusions of law supporting that order are public records.
Sec. 152. NRS 7.085 is hereby amended to read as follows:
7.085 1. If a court finds that an attorney has:
[1.] (a) Filed, maintained or defended a civil action or
proceeding in any court in this state and such action or defense is
not well-grounded in fact or is not warranted by existing law or by
an argument for changing the existing law that is made in good
faith; or
[2.] (b) Unreasonably and vexatiously extended a civil action or
proceeding before any court in this state,
the court shall require the attorney personally to pay the additional
costs, expenses and attorney’s fees reasonably incurred because of
such conduct.
2. The court shall liberally construe the provisions of this
section in favor of awarding costs, expenses and attorney’s fees in
all appropriate situations. It is the intent of the Legislature that the
court award costs, expenses and attorney’s fees pursuant to this
section and impose sanctions pursuant to Rule 11 of the Nevada
Rules of Civil Procedure in all appropriate situations to punish for
and deter frivolous or vexatious claims and defenses because such
claims and defenses overburden limited judicial resources, hinder
the timely resolution of meritorious claims and increase the costs
of engaging in business and providing professional services to the
public.
Sec. 153. NRS 18.010 is hereby amended to read as follows:
18.010 1. The compensation of an attorney and counselor for
his services is governed by agreement, express or implied, which is
not restrained by law.
2. In addition to the cases where an allowance is authorized by
specific statute, the court may make an allowance of attorney’s fees
to a prevailing party:
(a) When he has not recovered more than $20,000; or
(b) Without regard to the recovery sought, when the court finds
that the claim, counterclaim, cross-claim or third-party complaint or
defense of the opposing party was brought or maintained without
reasonable ground or to harass the prevailing party. The court shall
liberally construe the provisions of this paragraph in favor of
awarding attorney’s fees in all appropriate situations. It is the
intent of the Legislature that the court award attorney’s fees
pursuant to this paragraph and impose sanctions pursuant to Rule
11 of the Nevada Rules of Civil Procedure in all appropriate
situations to punish for and deter frivolous or vexatious claims
and defenses because such claims and defenses overburden
limited judicial resources, hinder the timely resolution of
meritorious claims and increase the costs of engaging in business
and providing professional services to the public.
3. In awarding attorney’s fees, the court may pronounce its
decision on the fees at the conclusion of the trial or special
proceeding without written motion and with or without presentation
of additional evidence.
4. Subsections 2 and 3 do not apply to any action arising out of
a written instrument or agreement which entitles the prevailing party
to an award of reasonable attorney’s fees.
Sec. 154. NRS 41A.081 is hereby amended to read as follows:
41A.081 1. In an action for medical malpractice or dental
malpractice, all the parties to the action, the insurers of the
respective parties and the attorneys of the respective parties shall
attend and participate in a settlement conference before a district
judge, other than the judge assigned to the action, to ascertain
whether the action may be settled by the parties before trial.
2. The judge before whom the settlement conference is held:
(a) May, for good cause shown, waive the attendance of any
party.
(b) Shall decide what information the parties may submit at the
settlement conference.
3. The judge shall notify the parties of the time and place of the
settlement conference.
4. The failure of any party, his insurer or his attorney to
participate in good faith in the settlement conference is grounds for
sanctions , including, without limitation, monetary sanctions,
against the party or his attorney, or both. The judges of the district
courts shall liberally construe the provisions of this subsection in
favor of imposing sanctions in all appropriate situations. It is the
intent of the Legislature that the judges of the district courts
impose sanctions pursuant to this subsection in all appropriate
situations to punish for and deter conduct which is not undertaken
in good faith because such conduct overburdens limited judicial
resources, hinders the timely resolution of meritorious claims and
increases the costs of engaging in business and providing
professional services to the public.
Secs. 155 and 156. (Deleted by amendment.)
Sec. 157. Chapter 690B of NRS is hereby amended by adding
thereto the provisions set forth as sections 158 to 175, inclusive, of
this act.
Sec. 158. As used in sections 158 to 165, inclusive, of this
act, unless the context otherwise requires, the words and terms
defined in sections 159 to 162, inclusive, of this act have the
meanings ascribed to them in those sections.
Sec. 159. “Claims-made policy” means a policy of
professional liability insurance that provides coverage only for
claims that arise from incidents or events which occur while the
policy is in force and which are reported to the insurer while the
policy is in force.
Sec. 160. “Extended reporting endorsement” means an
endorsement to a claims-made policy which requires the payment
of a separate premium and which provides coverage for claims
that arise from incidents or events which occur while the claims-
made policy is in force but which are reported to the insurer after
the claims-made policy is terminated.
Sec. 161. “Practitioner” means a practitioner who provides
health care.
Sec. 162. “Professional liability insurance” means a policy
of insurance covering the liability of a practitioner for a breach of
his professional duty toward a patient.
Sec. 163. 1. If an insurer offers to issue a claims-made
policy to a practitioner licensed pursuant to chapters 630 to 640,
inclusive, of NRS, the insurer shall:
(a) Offer to issue to the practitioner an extended reporting
endorsement without a time limitation for reporting a claim.
(b) Disclose to the practitioner the premium for the extended
reporting endorsement and the cost formula that the insurer uses
to determine the premium for the extended reporting endorsement.
(c) Disclose to the practitioner the portion of the premium
attributable to funding the extended reporting endorsement
offered at no additional cost to the practitioner in the event of the
practitioner’s death, disability or retirement, if such a benefit is
offered.
(d) Disclose to the practitioner the vesting requirements for the
extended reporting endorsement offered at no additional cost to
the practitioner in the event of the practitioner’s death or
retirement, if such a benefit is offered. If such a benefit is not
offered, the absence of such a benefit must be disclosed.
(e) Include, as part of the insurance contract, language which
must be approved by the Commissioner and which must be
substantially similar to the following:
If we adopt any revision that would broaden the
coverage under this policy without any additional
premium either within the policy period or within 60
days before the policy period, the broadened coverage
will immediately apply to this policy.
2. The disclosures required by subsection 1 must be made as
part of the offer and acceptance at the inception of the policy and
again at each renewal in the form of an endorsement attached to
the insurance contract and approved by the Commissioner.
3. The requirements set forth in this section are in addition to
the requirements set forth in section 12 of Senate Bill No. 122 of
this session.
Sec. 164. 1. In each rating plan of an insurer that issues a
policy of professional liability insurance to a practitioner licensed
pursuant to chapter 630 or 633 of NRS, the insurer shall provide
for a reduction in the premium for the policy if the practitioner
implements a qualified risk management system. The amount of
the reduction in the premium must be determined by the
Commissioner in accordance with the applicable standards for
rates established in NRS 686B.010 to 686B.1799, inclusive.
2. A qualified risk management system must comply with all
requirements established by the Commissioner.
3. The Commissioner shall adopt regulations to:
(a) Establish the requirements for a qualified risk
management system; and
(b) Carry out the provisions of this section.
4. The provisions of this section apply to all rating plans
which an insurer that issues a policy of professional liability
insurance to a practitioner licensed pursuant to chapter 630 or
633 of NRS files with the Commissioner on and after the effective
date of the regulations adopted by the Commissioner pursuant to
this section.
Sec. 165. 1. On an annual basis, the Commissioner shall,
pursuant to subsection 1 of NRS 680A.290, request each insurer
that issues a policy of professional liability insurance to a
practitioner licensed pursuant to chapter 630 or 633 of NRS to
submit to the Commissioner an annual report on its loss
prevention and control programs.
2. Not later than 90 days after the Commissioner receives the
annual reports from those insurers, the Commissioner shall
submit his report on the loss prevention and control programs of
those insurers, along with any recommendations, to the Director
of the Legislative Counsel Bureau for transmittal to members of
the Legislature.
Secs. 166-175. (Deleted by amendment.)
Sec. 176. NRS 690B.045 is hereby amended to read as
follows:
690B.045 Except as more is required in NRS 630.3067 and
633.526:
1. Each insurer which issues a policy of insurance covering the
liability of a practitioner licensed pursuant to chapters 630 to 640,
inclusive, of NRS for a breach of his professional duty toward a
patient shall report to the board which licensed the practitioner
within [30] 45 days each settlement or award made or judgment
rendered by reason of a claim, if the settlement, award or judgment
is for more than $5,000, giving the name and address of the claimant
and the practitioner and the circumstances of the case.
2. A practitioner licensed pursuant to chapters 630 to 640,
inclusive, of NRS who does not have insurance covering liability for
a breach of his professional duty toward a patient shall report to the
board which issued his license within [30] 45 days of each
settlement or award made or judgment rendered by reason of a
claim, if the settlement, award or judgment is for more than $5,000,
giving his name and address, the name and address of the claimant
and the circumstances of the case.
3. These reports are public records and must be made available
for public inspection within a reasonable time after they are received
by the licensing board.
Sec. 177. NRS 690B.050 is hereby amended to read as
follows:
690B.050 1. Each insurer which issues a policy of insurance
covering the liability of a physician licensed under chapter 630 of
NRS or an osteopathic physician licensed under chapter 633 of NRS
for a breach of his professional duty toward a patient shall report to
the Commissioner within [30] 45 days each settlement or award
made or judgment rendered by reason of a claim, giving the name
and address of the claimant and physician and the circumstances of
the case.
2. The Commissioner shall report to the Board of Medical
Examiners or the state board of osteopathic medicine, as applicable,
within 30 days after receiving the report of the insurer, each claim
made and each settlement, award or judgment.
Secs. 178 and 179. (Deleted by amendment.)
Sec. 180. Section 1 of Senate Bill No. 133 of this session is
hereby amended to read as follows:
Section 1. Chapter 630 of NRS is hereby amended by
adding thereto a new section to read as follows:
1. Except as otherwise provided in NRS 630.161, the
Board may issue a restricted license to a person who intends
to practice medicine in this state as a psychiatrist in a mental
health center of the Division under the direct supervision of a
psychiatrist who holds an unrestricted license to practice
medicine pursuant to this chapter.
2. A person who applies for a restricted license pursuant
to this section is not required to take or pass a written
examination as to his qualifications to practice medicine
pursuant to paragraph (e) of subsection 2 of NRS 630.160,
but the person must meet all other conditions and
requirements for an unrestricted license to practice medicine
pursuant to this chapter.
3. If the Board issues a restricted license pursuant to this
section, the person who holds the restricted license may
practice medicine in this state only as a psychiatrist in a
mental health center of the Division and only under the direct
supervision of a psychiatrist who holds an unrestricted license
to practice medicine pursuant to this chapter.
4. If a person who holds a restricted license issued
pursuant to this section ceases to practice medicine in this
state as a psychiatrist in a mental health center of the
Division:
(a) The Division shall notify the Board; and
(b) Upon receipt of such notification, the restricted
license expires automatically.
5. The Board may renew or modify a restricted license
issued pursuant to this section, unless the restricted license
has expired automatically or has been revoked.
6. [Each person who holds a restricted license issued
pursuant to this section and who accepts the privilege of
practicing medicine in this state pursuant to the provisions of
the restricted license shall be deemed to have given his
consent to the revocation of the restricted license at any time
by the Board for any of the grounds provided in NRS 630.161
or 630.301 to 630.3065, inclusive, or for any violation of the
provisions of this section.
7.] The provisions of this section do not limit the
authority of the Board to issue a restricted license to an
applicant in accordance with any other provision of this
chapter.
[8.] 7. As used in this section:
(a) “Division” means the Division of Mental Health and
Developmental Services of the Department of Human
Resources.
(b) “Mental health center” has the meaning ascribed to it
in NRS 433.144.
Sec. 181. Section 9 of Senate Bill No. 139 of this session is
hereby amended to read as follows:
Sec. 9. NRS 645.630 is hereby amended to read as
follows:
645.630 1. The Commission may require a licensee,
property manager or owner-developer to pay an
administrative fine of not more than $5,000 for each violation
he commits or suspend, revoke, deny the renewal of or place
conditions upon his license, permit or registration, or impose
any combination of those actions, at any time if the licensee,
property-manager or owner-developer has, by false or
fraudulent representation, obtained a license, permit or
registration, or the licensee, property manager or owner-
developer, whether or not acting as such, is found guilty of:
(a) Making any material misrepresentation.
(b) Making any false promises of a character likely to
influence, persuade or induce.
(c) Accepting a commission or valuable consideration as
a real estate broker-salesman or salesman for the performance
of any of the acts specified in this chapter or chapter 119 or
119A of NRS from any person except the licensed real estate
broker with whom he is associated or the owner-developer by
whom he is employed.
(d) Representing or attempting to represent a real estate
broker other than the broker with whom he is associated,
without the express knowledge and consent of the broker with
whom he is associated.
(e) Failing to maintain, for review and audit by the
Division, each brokerage agreement and property
management agreement governed by the provisions of this
chapter and entered into by the licensee.
(f) Failing, within a reasonable time, to account for or to
remit any money which comes into his possession and which
belongs to others.
(g) If he is required to maintain a trust account:
(1) Failing to balance the trust account at least
monthly; and
(2) Failing to submit to the Division an annual
accounting of the trust account as required in NRS 645.310.
(h) Commingling the money or other property of his
clients with his own or converting the money of others to his
own use.
(i) In the case of a broker-salesman or salesman, failing to
place in the custody of his licensed broker or owner-
developer, as soon as possible, any deposit or other money or
consideration entrusted to him by any person dealing with
him as the representative of his licensed broker.
(j) Accepting other than cash as earnest money unless that
fact is communicated to the owner before his acceptance of
the offer to purchase and that fact is shown in the receipt for
the earnest money.
(k) Upon acceptance of an agreement, in the case of a
broker, failing to deposit any check or cash received as
earnest money before the end of the next banking day unless
otherwise provided in the purchase agreement.
(l) Inducing any party to a brokerage agreement, property
management agreement, agreement of sale or lease to break
it in order to substitute a new brokerage agreement, property
management agreement, agreement of sale or lease with the
same or another party if the inducement to make the
substitution is offered to secure personal gain to the licensee
or owner-developer.
2. An order that imposes discipline and the findings of
fact and conclusions of law supporting that order are public
records.
Sec. 182. Section 7 of Senate Bill No. 332 of this session is
hereby amended to read as follows:
Sec. 7. 1. The Board shall maintain a website on the
Internet or its successor.
2. Except as otherwise provided in this section, the
Board and its members and employees shall not place any
information on the website maintained by the Board unless
the Board, at a regular meeting, approves the placement of
the information on the website.
3. The Board shall place on the website [:] , without
having to approve the placement at a meeting:
(a) Each application form for the issuance or renewal of a
license issued by the Board pursuant to this chapter . [; and]
(b) A list of questions that are frequently asked
concerning the processes of the Board and the answers to
those questions.
(c) An alphabetical list, by last name, of each physician
and a brief description of each disciplinary action, if any,
taken against the physician, in this state and elsewhere,
which relates to the practice of medicine and which is noted
in the records of the Board. The Board shall include, as part
of the list on the website, the name of each physician whose
license has been revoked by the Board. The Board shall
make the list on the website easily accessible and user
friendly for the public.
(d) All financial reports received by the Board.
(e) All financial reports prepared by the Board.
(f) Any other information required to be placed on the
website by any other provision of law.
Sec. 183. 1. NRS 622.010, 623A.295, 630.142, 634.165,
638.154, 639.091 and 656.295 are hereby repealed.
2. Section 4 of Senate Bill No. 281 of this session is hereby
repealed.
Sec. 184. 1. This section becomes effective on passage and
approval.
2. Sections 1 to 182, inclusive, of this act become effective
upon passage and approval for the purpose of adopting regulations
and on July 1, 2003, for all other purposes.
3. Section 183 of this act becomes effective on July 1, 2003.
4. Sections 79.7 and 99 of this act expire 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 procedure 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 the support of one or more
children,
are repealed by the Congress of the United States.
20~~~~~03