Bill Text: MN SF887 | 2013-2014 | 88th Legislature | Engrossed

NOTE: There are more recent revisions of this legislation. Read Latest Draft
Bill Title: Omnibus health department policy bill; Minnesota Radon Awareness Act

Spectrum: Partisan Bill (Democrat 2-0)

Status: (Passed) 2013-05-10 - Secretary of State Chapter 43 05/07/13 [SF887 Detail]

Download: Minnesota-2013-SF887-Engrossed.html

1.1A bill for an act
1.2relating to health; classifying criminal history record data on Minnesota
1.3Responds Medical Reserve Corps volunteers; requiring radon education
1.4disclosure for residential real property; changing provisions for tuberculosis
1.5standards; changing adverse health events reporting requirements; modifying
1.6a poison control provision; providing liability coverage for certain volunteer
1.7medical personnel and permitting agreements to conduct criminal background
1.8studies; changing provisions for body art establishments and body art technicians;
1.9defining occupational therapy practitioners; changing provisions for occupational
1.10therapy; amending prescribing authority for legend drugs; providing penalties;
1.11amending Minnesota Statutes 2012, sections 13.381, by adding a subdivision;
1.12144.1501, subdivision 4; 144.50, by adding a subdivision; 144.55, subdivision
1.133; 144.56, by adding a subdivision; 144.7065, subdivisions 2, 3, 4, 5, 6, 7, by
1.14adding a subdivision; 144A.04, by adding a subdivision; 144A.45, by adding a
1.15subdivision; 144A.752, by adding a subdivision; 144D.08; 145.93, subdivision 3;
1.16145A.04, by adding a subdivision; 145A.06, subdivision 7; 146B.02, subdivisions
1.172, 8; 146B.03, by adding a subdivision; 146B.07, subdivision 5; 148.6402, by
1.18adding a subdivision; 148.6440; 151.37, subdivision 2; proposing coding for new
1.19law in Minnesota Statutes, chapters 144; 145A; repealing Minnesota Statutes
1.202012, sections 144.1487; 144.1488; 144.1489; 144.1490; 144.1491; 146B.03,
1.21subdivision 10; 148.7808, subdivision 2; 148.7813; 325F.814; 609.2246.
1.22BE IT ENACTED BY THE LEGISLATURE OF THE STATE OF MINNESOTA:

1.23    Section 1. Minnesota Statutes 2012, section 13.381, is amended by adding a
1.24subdivision to read:
1.25    Subd. 14a. Minnesota Responds Medical Reserve Corps. Criminal history
1.26record data on Minnesota Responds Medical Reserve Corps volunteers are classified
1.27under section 145A.061.

1.28    Sec. 2. Minnesota Statutes 2012, section 144.1501, subdivision 4, is amended to read:
1.29    Subd. 4. Loan forgiveness. The commissioner of health may select applicants
1.30each year for participation in the loan forgiveness program, within the limits of available
2.1funding. The commissioner shall distribute available funds for loan forgiveness
2.2proportionally among the eligible professions according to the vacancy rate for each
2.3profession in the required geographic area, facility type, teaching area, patient group,
2.4or specialty type specified in subdivision 2. The commissioner shall allocate funds for
2.5physician loan forgiveness so that 75 percent of the funds available are used for rural
2.6physician loan forgiveness and 25 percent of the funds available are used for underserved
2.7urban communities and pediatric psychiatry loan forgiveness. If the commissioner does
2.8not receive enough qualified applicants each year to use the entire allocation of funds for
2.9any eligible profession, the remaining funds may be allocated proportionally among the
2.10other eligible professions according to the vacancy rate for each profession in the required
2.11geographic area, patient group, or facility type specified in subdivision 2. Applicants are
2.12responsible for securing their own qualified educational loans. The commissioner shall
2.13select participants based on their suitability for practice serving the required geographic
2.14area or facility type specified in subdivision 2, as indicated by experience or training. The
2.15commissioner shall give preference to applicants closest to completing their training.
2.16For each year that a participant meets the service obligation required under subdivision
2.173, up to a maximum of four years, the commissioner shall make annual disbursements
2.18directly to the participant equivalent to 15 percent of the average educational debt for
2.19indebted graduates in their profession in the year closest to the applicant's selection for
2.20which information is available, not to exceed the balance of the participant's qualifying
2.21educational loans. Before receiving loan repayment disbursements and as requested, the
2.22participant must complete and return to the commissioner an affidavit a confirmation of
2.23practice form provided by the commissioner verifying that the participant is practicing
2.24as required under subdivisions 2 and 3. The participant must provide the commissioner
2.25with verification that the full amount of loan repayment disbursement received by the
2.26participant has been applied toward the designated loans. After each disbursement,
2.27verification must be received by the commissioner and approved before the next loan
2.28repayment disbursement is made. Participants who move their practice remain eligible for
2.29loan repayment as long as they practice as required under subdivision 2.

2.30    Sec. 3. [144.496] MINNESOTA RADON AWARENESS ACT.
2.31    Subdivision 1. Citation. This section may be cited as the "Minnesota Radon
2.32Awareness Act."
2.33    Subd. 2. Definitions. (a) The following terms used in this section have the meanings
2.34given them.
3.1(b) "Buyer" means any individual, partnership, corporation, or trustee entering into
3.2an agreement to purchase any residential real estate or interest in real property.
3.3(c) "Mitigation" means measures designed to permanently reduce indoor radon
3.4concentrations.
3.5(d) "Radon test" means a measurement of indoor radon concentrations according to
3.6established industry standards for residential real property.
3.7(e) "Residential real property" means property occupied as, or intended to be
3.8occupied as, a single-family residence, including a unit in a common interest community
3.9as defined in section 515B.1-103, clause (10), regardless of whether the unit is in a
3.10common interest community not subject to chapter 515B.
3.11(f) "Seller" means any individual, partnership, corporation, or trustee transferring
3.12residential real property in return for consideration.
3.13(g) "Elevated radon concentration" means a radon concentration above the United
3.14States Environmental Protection Agency's radon action level.
3.15    Subd. 3. Radon disclosure. (a) Before signing an agreement to sell or transfer
3.16residential real property, the seller or transferor shall disclose in writing to the buyer
3.17or transferee any knowledge the seller or transferor has of radon concentrations in the
3.18dwelling. The disclosure shall include:
3.19(1) whether a radon test or tests have occurred on the property;
3.20(2) the most current records and reports pertaining to radon concentrations within
3.21the dwelling;
3.22(3) a description of any radon concentrations, mitigation, or remediation;
3.23(4) information regarding the radon mitigation system, including system description
3.24and documentation, if such system has been installed in the dwelling; and
3.25(5) a radon warning statement meeting the requirements of subdivision 2.
3.26(b) The seller or transferor shall provide the buyer or transferee the Minnesota
3.27Department of Health publication entitled "Radon in Real Estate Transactions."
3.28(c) If any of the requirements of this section occur after the buyer signs an agreement
3.29to purchase or transfer the residential real property, the seller shall complete the required
3.30activities prior to signing an agreement to sell or transfer the residential real property
3.31and allow the buyer an opportunity to review the information and possibly amend the
3.32agreement without penalty to the buyer.
3.33    Subd. 4. Radon warning statement. The radon warning statement must include
3.34the following language:
3.35"Radon Warning Statement
4.1The Minnesota Department of Health strongly recommends that ALL homebuyers
4.2have an indoor radon test performed prior to purchase or taking occupancy, and
4.3recommends having the radon levels mitigated if elevated radon concentrations are found.
4.4Elevated radon concentrations can easily be reduced by a qualified, certified, or licensed,
4.5if applicable, radon mitigator.
4.6Every buyer of any interest in residential real property is notified that the property
4.7may present exposure to dangerous levels of indoor radon gas that may place the occupants
4.8at risk of developing radon-induced lung cancer. Radon, a Class A human carcinogen, is
4.9the leading cause of lung cancer in nonsmokers and the second leading cause overall. The
4.10seller of any interest in residential real property is required to provide the buyer with any
4.11information on radon test results of the dwelling."
4.12    Subd. 5. Effective date. This section is effective January 1, 2014, and applies to an
4.13agreement to sell or transfer residential real property executed on or after that date.

4.14    Sec. 4. Minnesota Statutes 2012, section 144.50, is amended by adding a subdivision
4.15to read:
4.16    Subd. 8. Supervised living facility; tuberculosis prevention and control. (a)
4.17A supervised living facility must establish and maintain a comprehensive tuberculosis
4.18infection control program according to the most current tuberculosis infection control
4.19guidelines issued by the United States Centers for Disease Control and Prevention (CDC),
4.20Division of Tuberculosis Elimination, as published in CDC's Morbidity and Mortality
4.21Weekly Report (MMWR). This program must include a tuberculosis infection control plan
4.22that covers all paid and unpaid employees, contractors, students, and volunteers. The
4.23Department of Health shall provide technical assistance regarding implementation of
4.24the guidelines.
4.25(b) Written compliance with this subdivision must be maintained by the supervised
4.26living facility.

4.27    Sec. 5. Minnesota Statutes 2012, section 144.55, subdivision 3, is amended to read:
4.28    Subd. 3. Standards for licensure. (a) Notwithstanding the provisions of section
4.29144.56 , for the purpose of hospital licensure, the commissioner of health shall use as
4.30minimum standards the hospital certification regulations promulgated pursuant to Title
4.31XVIII of the Social Security Act, United States Code, title 42, section 1395, et seq. The
4.32commissioner may use as minimum standards changes in the federal hospital certification
4.33regulations promulgated after May 7, 1981, if the commissioner finds that such changes
5.1are reasonably necessary to protect public health and safety. The commissioner shall also
5.2promulgate in rules additional minimum standards for new construction.
5.3(b) Each hospital and outpatient surgical center shall establish policies and
5.4procedures to prevent the transmission of human immunodeficiency virus and hepatitis B
5.5virus to patients and within the health care setting. The policies and procedures shall be
5.6developed in conformance with the most recent recommendations issued by the United
5.7States Department of Health and Human Services, Public Health Service, Centers for
5.8Disease Control. The commissioner of health shall evaluate a hospital's compliance with
5.9the policies and procedures according to subdivision 4.
5.10(c) An outpatient surgical center must establish and maintain a comprehensive
5.11tuberculosis infection control program according to the most current tuberculosis infection
5.12control guidelines issued by the United States Centers for Disease Control and Prevention
5.13(CDC), Division of Tuberculosis Elimination, as published in CDC's Morbidity and
5.14Mortality Weekly Report (MMWR). This program must include a tuberculosis infection
5.15control plan that covers all paid and unpaid employees, contractors, students, and
5.16volunteers. The Department of Health shall provide technical assistance regarding
5.17implementation of the guidelines.
5.18(d) Written compliance with this subdivision must be maintained by the outpatient
5.19surgical center.

5.20    Sec. 6. Minnesota Statutes 2012, section 144.56, is amended by adding a subdivision
5.21to read:
5.22    Subd. 2c. Boarding care home; tuberculosis prevention and control. (a) A
5.23boarding care home must establish and maintain a comprehensive tuberculosis infection
5.24control program according to the most current tuberculosis infection control guidelines
5.25issued by the United States Centers for Disease Control and Prevention (CDC), Division
5.26of Tuberculosis Elimination, as published in CDC's Morbidity and Mortality Weekly
5.27Report (MMWR). This program must include a tuberculosis infection control plan that
5.28covers all paid and unpaid employees, contractors, students, residents, and volunteers.
5.29The Department of Health shall provide technical assistance regarding implementation of
5.30the guidelines.
5.31(b) Written compliance with this subdivision must be maintained by the boarding
5.32care home.

5.33    Sec. 7. Minnesota Statutes 2012, section 144.7065, subdivision 2, is amended to read:
5.34    Subd. 2. Surgical events. Events reportable under this subdivision are:
6.1(1) surgery or other invasive procedure performed on a wrong body part that is not
6.2consistent with the documented informed consent for that patient. Reportable events under
6.3this clause do not include situations requiring prompt action that occur in the course of
6.4surgery or situations whose urgency precludes obtaining informed consent;
6.5(2) surgery or other invasive procedure performed on the wrong patient;
6.6(3) the wrong surgical or other invasive procedure performed on a patient that is
6.7not consistent with the documented informed consent for that patient. Reportable events
6.8under this clause do not include situations requiring prompt action that occur in the course
6.9of surgery or situations whose urgency precludes obtaining informed consent;
6.10(4) retention of a foreign object in a patient after surgery or other invasive procedure,
6.11excluding objects intentionally implanted as part of a planned intervention and objects
6.12present prior to surgery that are intentionally retained; and
6.13(5) death during or immediately after surgery or other invasive procedure of a
6.14normal, healthy patient who has no organic, physiologic, biochemical, or psychiatric
6.15disturbance and for whom the pathologic processes for which the operation is to be
6.16performed are localized and do not entail a systemic disturbance.

6.17    Sec. 8. Minnesota Statutes 2012, section 144.7065, subdivision 3, is amended to read:
6.18    Subd. 3. Product or device events. Events reportable under this subdivision are:
6.19(1) patient death or serious disability injury associated with the use of contaminated
6.20drugs, devices, or biologics provided by the facility when the contamination is the result
6.21of generally detectable contaminants in drugs, devices, or biologics regardless of the
6.22source of the contamination or the product;
6.23(2) patient death or serious disability injury associated with the use or function of
6.24a device in patient care in which the device is used or functions other than as intended.
6.25"Device" includes, but is not limited to, catheters, drains, and other specialized tubes,
6.26infusion pumps, and ventilators; and
6.27(3) patient death or serious disability injury associated with intravascular air
6.28embolism that occurs while being cared for in a facility, excluding deaths associated with
6.29neurosurgical procedures known to present a high risk of intravascular air embolism.

6.30    Sec. 9. Minnesota Statutes 2012, section 144.7065, subdivision 4, is amended to read:
6.31    Subd. 4. Patient protection events. Events reportable under this subdivision are:
6.32(1) an infant a patient of any age, who does not have decision-making capacity,
6.33 discharged to the wrong person;
7.1(2) patient death or serious disability injury associated with patient disappearance,
7.2excluding events involving adults who have decision-making capacity; and
7.3(3) patient suicide or, attempted suicide resulting in serious disability injury, or
7.4self-harm resulting in serious injury or death while being cared for in a facility due to
7.5patient actions after admission to the facility, excluding deaths resulting from self-inflicted
7.6injuries that were the reason for admission to the facility.

7.7    Sec. 10. Minnesota Statutes 2012, section 144.7065, subdivision 5, is amended to read:
7.8    Subd. 5. Care management events. Events reportable under this subdivision are:
7.9(1) patient death or serious disability injury associated with a medication error,
7.10including, but not limited to, errors involving the wrong drug, the wrong dose, the wrong
7.11patient, the wrong time, the wrong rate, the wrong preparation, or the wrong route of
7.12administration, excluding reasonable differences in clinical judgment on drug selection
7.13and dose;
7.14(2) patient death or serious disability injury associated with a hemolytic reaction
7.15due to the administration of ABO/HLA-incompatible unsafe administration of blood
7.16or blood products;
7.17(3) maternal death or serious disability injury associated with labor or delivery in a
7.18low-risk pregnancy while being cared for in a facility, including events that occur within
7.1942 days postdelivery and excluding deaths from pulmonary or amniotic fluid embolism,
7.20acute fatty liver of pregnancy, or cardiomyopathy;
7.21(4) patient death or serious disability directly related to hypoglycemia, the onset of
7.22which occurs while the patient is being cared for in a facility death or serious injury of a
7.23neonate associated with labor or delivery in a low-risk pregnancy;
7.24(5) death or serious disability, including kernicterus, associated with failure
7.25to identify and treat hyperbilirubinemia in neonates during the first 28 days of life.
7.26"Hyperbilirubinemia" means bilirubin levels greater than 30 milligrams per deciliter;
7.27(6) (5) stage 3 or 4 or unstageable ulcers acquired after admission to a facility,
7.28excluding progression from stage 2 to stage 3 if stage 2 was recognized upon admission;
7.29(7) patient death or serious disability due to spinal manipulative therapy; and
7.30(8) (6) artificial insemination with the wrong donor sperm or wrong egg.;
7.31(7) patient death or serious injury associated with a fall while being cared for in
7.32a facility;
7.33(8) the irretrievable loss of an irreplaceable biological specimen; and
7.34(9) patient death or serious injury resulting from the failure to follow up or
7.35communicate laboratory, pathology, or radiology test results.

8.1    Sec. 11. Minnesota Statutes 2012, section 144.7065, subdivision 6, is amended to read:
8.2    Subd. 6. Environmental events. Events reportable under this subdivision are:
8.3(1) patient death or serious disability injury associated with an electric shock while
8.4being cared for in a facility, excluding events involving planned treatments such as electric
8.5countershock;
8.6(2) any incident in which a line designated for oxygen or other gas to be delivered to
8.7a patient contains the wrong gas or is contaminated by toxic substances;
8.8(3) patient death or serious disability injury associated with a burn incurred from any
8.9source while being cared for in a facility; and
8.10(4) patient death or serious disability associated with a fall while being cared for in
8.11a facility; and
8.12(5) (4) patient death or serious disability injury associated with the use or lack of
8.13restraints or bedrails while being cared for in a facility.

8.14    Sec. 12. Minnesota Statutes 2012, section 144.7065, subdivision 7, is amended to read:
8.15    Subd. 7. Potential criminal events. Events reportable under this subdivision are:
8.16(1) any instance of care ordered by or provided by someone impersonating a
8.17physician, nurse, pharmacist, or other licensed health care provider;
8.18(2) abduction of a patient of any age;
8.19(3) sexual assault on a patient within or on the grounds of a facility; and
8.20(4) death or significant serious injury of a patient or staff member resulting from a
8.21physical assault that occurs within or on the grounds of a facility.

8.22    Sec. 13. Minnesota Statutes 2012, section 144.7065, is amended by adding a
8.23subdivision to read:
8.24    Subd. 7a. Radiologic events. Death or serious injury of a patient associated with
8.25the introduction of a metallic object into the MRI area are reportable events under this
8.26subdivision.

8.27    Sec. 14. Minnesota Statutes 2012, section 144A.04, is amended by adding a
8.28subdivision to read:
8.29    Subd. 3b. Nursing homes; tuberculosis prevention and control. (a) A nursing
8.30home provider must establish and maintain a comprehensive tuberculosis infection control
8.31program according to the most current tuberculosis infection control guidelines issued
8.32by the United States Centers for Disease Control and Prevention (CDC), Division of
8.33Tuberculosis Elimination, as published in CDC's Morbidity and Mortality Weekly Report
9.1(MMWR). This program must include a tuberculosis infection control plan that covers
9.2all paid and unpaid employees, contractors, students, residents, and volunteers. The
9.3Department of Health shall provide technical assistance regarding implementation of
9.4the guidelines.
9.5(b) Written compliance with this subdivision must be maintained by the nursing home.

9.6    Sec. 15. Minnesota Statutes 2012, section 144A.45, is amended by adding a
9.7subdivision to read:
9.8    Subd. 6. Home care providers; tuberculosis prevention and control. (a) A home
9.9care provider must establish and maintain a comprehensive tuberculosis infection control
9.10program according to the most current tuberculosis infection control guidelines issued
9.11by the United States Centers for Disease Control and Prevention (CDC), Division of
9.12Tuberculosis Elimination, as published in CDC's Morbidity and Mortality Weekly Report
9.13(MMWR). This program must include a tuberculosis infection control plan that covers
9.14all paid and unpaid employees, contractors, students, and volunteers. The Department of
9.15Health shall provide technical assistance regarding implementation of the guidelines.
9.16(b) Written compliance with this subdivision must be maintained by the home care
9.17provider.

9.18    Sec. 16. Minnesota Statutes 2012, section 144A.752, is amended by adding a
9.19subdivision to read:
9.20    Subd. 5. Hospice providers; tuberculosis prevention and control. (a) A hospice
9.21provider must establish and maintain a comprehensive tuberculosis infection control
9.22program according to the most current tuberculosis infection control guidelines issued
9.23by the United States Centers for Disease Control and Prevention (CDC), Division of
9.24Tuberculosis Elimination, as published in CDC's Morbidity and Mortality Weekly Report
9.25(MMWR). This program must include a tuberculosis infection control plan that covers
9.26all paid and unpaid employees, contractors, students, and volunteers. For residential
9.27hospice facilities, the tuberculosis infection control plan must cover each hospice patient.
9.28The Department of Health shall provide technical assistance regarding implementation of
9.29the guidelines.
9.30(b) Written compliance with this subdivision must be maintained by the hospice
9.31provider.

9.32    Sec. 17. Minnesota Statutes 2012, section 144D.08, is amended to read:
9.33144D.08 UNIFORM CONSUMER INFORMATION GUIDE.
10.1All housing with services establishments shall make available to all prospective
10.2and current residents information consistent with the uniform format and the required
10.3components adopted by the commissioner under section 144G.06. This section does not
10.4apply to an establishment registered under section 144D.025 serving the homeless.

10.5    Sec. 18. Minnesota Statutes 2012, section 145.93, subdivision 3, is amended to read:
10.6    Subd. 3. Grant award; designation; payments under grant. Each odd-numbered
10.7 Every fifth year, the commissioner shall solicit applications for the poison information
10.8centers by giving reasonable public notice of the availability of money appropriated or
10.9otherwise available. The commissioner shall select from among the entities, whether profit
10.10or nonprofit, or units of government the applicants that best fulfill the criteria specified in
10.11subdivision 4. The grant shall be paid to the grantees quarterly beginning on July 1.

10.12    Sec. 19. Minnesota Statutes 2012, section 145A.04, is amended by adding a
10.13subdivision to read:
10.14    Subd. 6d. Minnesota Responds Medical Reserve Corps; liability coverage. A
10.15Minnesota Responds Medical Reserve Corps volunteer responding to a request for training
10.16or assistance at the call of a board of health must be deemed an employee of the jurisdiction
10.17for purposes of workers' compensation, tort claim defense, and indemnification.

10.18    Sec. 20. Minnesota Statutes 2012, section 145A.06, subdivision 7, is amended to read:
10.19    Subd. 7. Commissioner requests for health volunteers. (a) When the
10.20commissioner receives a request for health volunteers from:
10.21(1) a local board of health according to section 145A.04, subdivision 6c;
10.22(2) the University of Minnesota Academic Health Center;
10.23(3) another state or a territory through the Interstate Emergency Management
10.24Assistance Compact authorized under section 192.89;
10.25(4) the federal government through ESAR-VHP or another similar program; or
10.26(5) a tribal or Canadian government;
10.27the commissioner shall determine if deployment of Minnesota Responds Medical Reserve
10.28Corps volunteers from outside the requesting jurisdiction is in the public interest. If so,
10.29the commissioner may ask for Minnesota Responds Medical Reserve Corps volunteers to
10.30respond to the request. The commissioner may also ask for Minnesota Responds Medical
10.31Reserve Corps volunteers if the commissioner finds that the state needs health volunteers.
10.32(b) The commissioner may request Minnesota Responds Medical Reserve Corps
10.33volunteers to work on the Minnesota Mobile Medical Unit (MMU), or on other mobile
11.1or temporary units providing emergency patient stabilization, medical transport, or
11.2ambulatory care. The commissioner may utilize the volunteers for training, mobilization
11.3or demobilization, inspection, maintenance, repair, or other support functions for the
11.4MMU facility or for other emergency units, as well as for provision of health care services.
11.5(c) A volunteer's rights and benefits under this chapter as a Minnesota Responds
11.6Medical Reserve Corps volunteer is not affected by any vacation leave, pay, or other
11.7compensation provided by the volunteer's employer during volunteer service requested by
11.8the commissioner. An employer is not liable for actions of an employee while serving as a
11.9Minnesota Responds Medical Reserve Corps volunteer.
11.10(d) If the commissioner matches the request under paragraph (a) with Minnesota
11.11Responds Medical Reserve Corps volunteers, the commissioner shall facilitate deployment
11.12of the volunteers from the sending Minnesota Responds Medical Reserve Corps units to
11.13the receiving jurisdiction. The commissioner shall track volunteer deployments and assist
11.14sending and receiving jurisdictions in monitoring deployments, and shall coordinate
11.15efforts with the division of homeland security and emergency management for out-of-state
11.16deployments through the Interstate Emergency Management Assistance Compact or
11.17other emergency management compacts.
11.18(e) Where the commissioner has deployed Minnesota Responds Medical Reserve
11.19Corps volunteers within or outside the state, the provisions of paragraphs (f) and (g) must
11.20apply. Where Minnesota Responds Medical Reserve Corps volunteers were deployed
11.21across jurisdictions by mutual aid or similar agreements prior to a commissioner's call,
11.22the provisions of paragraphs (f) and (g) must apply retroactively to volunteers deployed
11.23as of their initial deployment in response to the event or emergency that triggered a
11.24subsequent commissioner's call.
11.25(f) (1) A Minnesota Responds Medical Reserve Corps volunteer responding to a
11.26request for training or assistance at the call of the commissioner must be deemed an
11.27employee of the state for purposes of workers' compensation and tort claim defense and
11.28indemnification under section 3.736, without regard to whether the volunteer's activity is
11.29under the direction and control of the commissioner, the division of homeland security
11.30and emergency management, the sending jurisdiction, the receiving jurisdiction, or of a
11.31hospital, alternate care site, or other health care provider treating patients from the public
11.32health event or emergency.
11.33(2) For purposes of calculating workers' compensation benefits under chapter 176,
11.34the daily wage must be the usual wage paid at the time of injury or death for similar services
11.35performed by paid employees in the community where the volunteer regularly resides, or
11.36the wage paid to the volunteer in the volunteer's regular employment, whichever is greater.
12.1(g) The Minnesota Responds Medical Reserve Corps volunteer must receive
12.2reimbursement for travel and subsistence expenses during a deployment approved by the
12.3commissioner under this subdivision according to reimbursement limits established for
12.4paid state employees. Deployment begins when the volunteer leaves on the deployment
12.5until the volunteer returns from the deployment, including all travel related to the
12.6deployment. The Department of Health shall initially review and pay those expenses to
12.7the volunteer. Except as otherwise provided by the Interstate Emergency Management
12.8Assistance Compact in section 192.89 or agreements made thereunder, the department
12.9shall bill the jurisdiction receiving assistance and that jurisdiction shall reimburse the
12.10department for expenses of the volunteers.
12.11(h) In the event Minnesota Responds Medical Reserve Corps volunteers are
12.12deployed outside the state pursuant to the Interstate Emergency Management Assistance
12.13Compact, the provisions of the Interstate Emergency Management Assistance Compact
12.14must control over any inconsistent provisions in this section.
12.15(i) When a Minnesota Responds Medical Reserve Corps volunteer makes a claim
12.16for workers' compensation arising out of a deployment under this section or out of a
12.17training exercise conducted by the commissioner, the volunteer's workers compensation
12.18benefits must be determined under section 176.011, subdivision 9, clause (25), even if the
12.19volunteer may also qualify under other clauses of section 176.011, subdivision 9.

12.20    Sec. 21. [145A.061] CRIMINAL BACKGROUND STUDIES.
12.21    Subdivision 1. Agreements to conduct criminal background studies. The
12.22commissioner of health may develop agreements to conduct criminal background studies
12.23on each person who registers as a volunteer in the Minnesota Responds Medical Reserve
12.24Corps and applies for membership in the Minnesota behavioral health or mobile medical
12.25teams. The background study is for the purpose of determining the applicant's suitability
12.26and eligibility for membership. Each applicant must provide written consent authorizing
12.27the Department of Health to obtain the applicant's state criminal background information.
12.28    Subd. 2. Opportunity to challenge accuracy of report. Before denying the
12.29applicant the opportunity to serve as a health volunteer due to information obtained from a
12.30background study, the commissioner shall provide the applicant with the opportunity to
12.31complete, or challenge the accuracy of, the criminal justice information reported to the
12.32commissioner. The applicant shall have 30 calendar days to correct or complete the record
12.33prior to the commissioner taking final action based on the report.
12.34    Subd. 3. Denial of service. The commissioner may deny an application from any
12.35applicant who has been convicted of any of the following crimes:
13.1Section 609.185 (murder in the first degree); section 609.19 (murder in the second
13.2degree); section 609.195 (murder in the third degree); section 609.20 (manslaughter in
13.3the first degree); section 609.205 (manslaughter in the second degree); section 609.25
13.4(kidnapping); section 609.2661 (murder of an unborn child in the first degree); section
13.5609.2662 (murder of an unborn child in the second degree); section 609.2663 (murder of
13.6an unborn child in the third degree); section 609.342 (criminal sexual conduct in the first
13.7degree); section 609.343 (criminal sexual conduct in the second degree); section 609.344
13.8(criminal sexual conduct in the third degree); section 609.345 (criminal sexual conduct in
13.9the fourth degree); section 609.3451 (criminal sexual conduct in the fifth degree); section
13.10609.3453 (criminal sexual predatory conduct); section 609.352 (solicitation of children to
13.11engage in sexual conduct); section 609.352 (communication of sexually explicit materials
13.12to children); section 609.365 (incest); section 609.377 (felony malicious punishment of
13.13a child); section 609.378 (felony neglect or endangerment of a child); section 609.561
13.14(arson in the first degree); section 609.562 (arson in the second degree); section 609.563
13.15(arson in the third degree); section 609.749, subdivision 3, 4, or 5 (felony stalking); section
13.16152.021 (controlled substance crimes in the first degree); section 152.022 (controlled
13.17substance crimes in the second degree); section 152.023 (controlled substance crimes in
13.18the third degree); section 152.024 (controlled substance crimes in the fourth degree);
13.19section 152.025 (controlled substance crimes in the fifth degree); section 243.166
13.20(violation of predatory offender registration law); section 617.23, subdivision 2, clause
13.21(1), or subdivision 3, clause (1) (indecent exposure involving a minor); section 617.246
13.22(use of minors in sexual performance); section 617.247 (possession of pornographic
13.23work involving minors); section 609.221 (assault in the first degree); section 609.222
13.24(assault in the second degree); section 609.223 (assault in the third degree); section
13.25609.2231 (assault in the fourth degree); section 609.224 (assault in the fifth degree);
13.26section 609.2242 (domestic assault); section 609.2247 (domestic assault by strangulation);
13.27section 609.228 (great bodily harm caused by distribution of drugs); section 609.23
13.28(mistreatment of persons confined); section 609.231 (mistreatment of residents or
13.29patients); section 609.2325 (criminal abuse); section 609.233 (criminal neglect); section
13.30609.2335 (financial exploitation of a vulnerable adult); section 609.234 (failure to report);
13.31section 609.24 (simple robbery); section 609.245 (aggravated robbery); section 609.255
13.32(false imprisonment); section 609.322 (solicitation, inducement, and promotion of
13.33prostitution and sex trafficking); section 609.324, subdivision 1 (hiring or engaging minors
13.34in prostitution); section 609.465 (presenting false claims to a public officer or body);
13.35section 609.466 (medical assistance fraud); section 609.52 (felony theft); section 609.82
13.36(felony fraud in obtaining credit); section 609.527 (felony identity theft); section 609.582
14.1(felony burglary); section 609.611 (felony insurance fraud); section 609.625 (aggravated
14.2forgery); section 609.63 (forgery); section 609.631 (felony check forgery); section 609.66,
14.3subdivision 1e (felony drive-by shooting); section 609.71 (felony riot); section 609.713
14.4(terroristic threats); section 609.72, subdivision 3 (disorderly conduct by a caregiver against
14.5a vulnerable adult); section 609.821 (felony financial transaction card fraud); section
14.6609.855, subdivision 4 (shooting at or in a public transit vehicle or facility); or aiding and
14.7abetting, attempting, or conspiring to commit any of the offenses in this subdivision.
14.8    Subd. 4. Conviction. For purposes of this section, an applicant is considered to
14.9have been convicted of a crime if the applicant was convicted, or otherwise found guilty,
14.10including by entering an Alford plea; was found guilty but the adjudication of guilt was
14.11stayed or withheld; or was convicted but the imposition or execution of a sentence was
14.12stayed.
14.13    Subd. 5. Data practices. All state criminal history record information or data
14.14obtained by the commissioner from the Bureau of Criminal Apprehension is private data
14.15on individuals under section 13.02, subdivision 12, and restricted to the exclusive use of
14.16commissioner for the purpose of evaluating an applicant's eligibility for participation in
14.17the behavioral health or mobile field medical team.
14.18    Subd. 6. Use of volunteers by commissioner. The commissioner may deny a
14.19volunteer membership on a mobile medical team or behavioral health team for any reason,
14.20and is only required to communicate the reason when membership is denied as a result
14.21of information received from a criminal background study. The commissioner is exempt
14.22from the Criminal Offenders Rehabilitation Act under chapter 364 in the selection of
14.23volunteers for any position or activity including the Minnesota Responds Medical Reserve
14.24Corps, the Minnesota behavioral health team, and the mobile medical team.

14.25    Sec. 22. Minnesota Statutes 2012, section 146B.02, subdivision 2, is amended to read:
14.26    Subd. 2. Requirements. (a) Each application for an initial mobile or fixed-site
14.27 establishment license and for renewal must be submitted to the commissioner on a form
14.28provided by the commissioner accompanied with the applicable fee required under section
14.29146B.10 . The application must contain:
14.30(1) the name(s) of the owner(s) and operator(s) of the establishment;
14.31(2) the location of the establishment;
14.32(3) verification of compliance with all applicable local and state codes;
14.33(4) a description of the general nature of the business; and
14.34(5) any other relevant information deemed necessary by the commissioner.
15.1    (b) The commissioner shall issue a provisional establishment license effective until
15.2the commissioner determines after inspection that the applicant has met the requirements
15.3of this chapter. Upon approval, the commissioner shall issue a body art establishment
15.4license effective for three years.

15.5    Sec. 23. Minnesota Statutes 2012, section 146B.02, subdivision 8, is amended to read:
15.6    Subd. 8. Temporary events permit. (a) An owner or operator of a temporary
15.7body art establishment shall submit an application for a temporary events permit to the
15.8commissioner at least 14 days before the start of the event. The application must include
15.9the specific days and hours of operation. The owner or operator shall comply with the
15.10requirements of this chapter.
15.11(b) Applications received less than 14 days prior to the start of the event may be
15.12processed if the commissioner determines it is possible to conduct the required inspection.
15.13(b) (c) The temporary events permit must be prominently displayed in a public
15.14area at the location.
15.15(c) (d) The temporary events permit, if approved, is valid for the specified dates and
15.16hours listed on the application. No temporary events permit shall be issued for longer than
15.17a 21-day period, and may not be extended.

15.18    Sec. 24. Minnesota Statutes 2012, section 146B.03, is amended by adding a
15.19subdivision to read:
15.20    Subd. 11. Penalty. Any person who violates the provisions of subdivision 1 is
15.21guilty of a gross misdemeanor.

15.22    Sec. 25. Minnesota Statutes 2012, section 146B.07, subdivision 5, is amended to read:
15.23    Subd. 5. Aftercare. A technician shall provide each client with verbal and written
15.24instructions for the care of the tattooed or pierced site upon the completion of the
15.25procedure. The written instructions must advise the client of the difference between
15.26normal skin or tissue irritation and infection and to consult a health care professional at
15.27the first sign upon indication of infection of the skin or tissue.

15.28    Sec. 26. Minnesota Statutes 2012, section 148.6402, is amended by adding a
15.29subdivision to read:
15.30    Subd. 16a. Occupational therapy practitioner. "Occupational therapy
15.31practitioner" means any individual licensed as either an occupational therapist or
15.32occupational therapy assistant under sections 148.6401 to 148.6450.

16.1    Sec. 27. Minnesota Statutes 2012, section 148.6440, is amended to read:
16.2148.6440 PHYSICAL AGENT MODALITIES.
16.3    Subdivision 1. General considerations. (a) Occupational therapists therapy
16.4practitioners who intend to use superficial physical agent modalities must comply with the
16.5requirements in subdivision 3. Occupational therapists therapy practitioners who intend
16.6to use electrotherapy must comply with the requirements in subdivision 4. Occupational
16.7therapists therapy practitioners who intend to use ultrasound devices must comply with
16.8the requirements in subdivision 5. Occupational therapy practitioners who are licensed
16.9as occupational therapy assistants and who intend to use physical agent modalities must
16.10also comply with subdivision 6.
16.11(b) Use of superficial physical agent modalities, electrical stimulation devices, and
16.12ultrasound devices must be on the order of a physician.
16.13(c) Prior to any use of any physical agent modality, a licensee an occupational
16.14therapy practitioner must obtain approval from the commissioner. The commissioner
16.15shall maintain a roster of persons licensed under sections 148.6401 to 148.6450 who are
16.16approved to use physical agent modalities.
16.17(d) Licensees Occupational therapy practitioners are responsible for informing the
16.18commissioner of any changes in the information required in this section within 30 days
16.19of any change.
16.20    Subd. 2. Written documentation required. (a) An occupational therapist
16.21 therapy practitioner must provide to the commissioner documentation verifying that
16.22the occupational therapist therapy practitioner has met the educational and clinical
16.23requirements described in subdivisions 3 to 5, depending on the modality or modalities
16.24to be used. Both theoretical training and clinical application objectives must be met for
16.25each modality used. Documentation must include the name and address of the individual
16.26or organization sponsoring the activity; the name and address of the facility at which
16.27the activity was presented; and a copy of the course, workshop, or seminar description,
16.28including learning objectives and standards for meeting the objectives. In the case of
16.29clinical application objectives, teaching methods must be documented, including actual
16.30supervised practice. Documentation must include a transcript or certificate showing
16.31successful completion of the coursework. Coursework completed more than two years
16.32prior to the date of application must be retaken. An occupational therapist therapy
16.33practitioner who is a certified hand therapist shall document satisfaction of the requirements
16.34in subdivisions 3 to 5 by submitting to the commissioner a copy of a certificate issued
16.35by the Hand Therapy Certification Commission. Occupational therapy practitioners are
17.1prohibited from using physical agent modalities under supervision or independently until
17.2granted approval as provided in subdivision 7, except under the provisions in paragraph (b).
17.3(b) If a an occupational therapy practitioner has successfully completed a specific
17.4course previously reviewed and approved by the commissioner as provided for in
17.5subdivision 7, and has submitted the written documentation required in paragraph (a)
17.6within 30 calendar days from the course date, the occupational therapy practitioner
17.7awaiting written approval from the commissioner may use physical agent modalities
17.8under the supervision of a licensed occupational therapist practitioner listed on the roster
17.9of persons approved to use physical agent modalities.
17.10    Subd. 3. Requirements for use of superficial physical agent modalities. (a) An
17.11occupational therapist therapy practitioner may use superficial physical agent modalities
17.12if the occupational therapist therapy practitioner has received theoretical training and
17.13clinical application training in the use of superficial physical agent modalities and been
17.14granted approval as provided in subdivision 7.
17.15(b) Theoretical training in the use of superficial physical agent modalities must:
17.16(1) explain the rationale and clinical indications for use of superficial physical agent
17.17modalities;
17.18(2) explain the physical properties and principles of the superficial physical agent
17.19modalities;
17.20(3) describe the types of heat and cold transference;
17.21(4) explain the factors affecting tissue response to superficial heat and cold;
17.22(5) describe the biophysical effects of superficial physical agent modalities in
17.23normal and abnormal tissue;
17.24(6) describe the thermal conductivity of tissue, matter, and air;
17.25(7) explain the advantages and disadvantages of superficial physical agent
17.26modalities; and
17.27(8) explain the precautions and contraindications of superficial physical agent
17.28modalities.
17.29(c) Clinical application training in the use of superficial physical agent modalities
17.30must include activities requiring the occupational therapy practitioner to:
17.31(1) formulate and justify a plan for the use of superficial physical agents for
17.32treatment appropriate to its use and simulate the treatment;
17.33(2) evaluate biophysical effects of the superficial physical agents;
17.34(3) identify when modifications to the treatment plan for use of superficial physical
17.35agents are needed and propose the modification plan;
18.1(4) safely and appropriately administer superficial physical agents under the
18.2supervision of a course instructor or clinical trainer;
18.3(5) document parameters of treatment, patient response, and recommendations for
18.4progression of treatment for the superficial physical agents; and
18.5(6) demonstrate the ability to work competently with superficial physical agents as
18.6determined by a course instructor or clinical trainer.
18.7    Subd. 4. Requirements for use of electrotherapy. (a) An occupational therapist
18.8 therapy practitioner may use electrotherapy if the occupational therapist therapy
18.9practitioner has received theoretical training and clinical application training in the use of
18.10electrotherapy and been granted approval as provided in subdivision 7.
18.11(b) Theoretical training in the use of electrotherapy must:
18.12(1) explain the rationale and clinical indications of electrotherapy, including pain
18.13control, muscle dysfunction, and tissue healing;
18.14(2) demonstrate comprehension and understanding of electrotherapeutic terminology
18.15and biophysical principles, including current, voltage, amplitude, and resistance;
18.16(3) describe the types of current used for electrical stimulation, including the
18.17description, modulations, and clinical relevance;
18.18(4) describe the time-dependent parameters of pulsed and alternating currents,
18.19including pulse and phase durations and intervals;
18.20(5) describe the amplitude-dependent characteristics of pulsed and alternating
18.21currents;
18.22(6) describe neurophysiology and the properties of excitable tissue;
18.23(7) describe nerve and muscle response from externally applied electrical
18.24stimulation, including tissue healing;
18.25(8) describe the electrotherapeutic effects and the response of nerve, denervated and
18.26innervated muscle, and other soft tissue; and
18.27(9) explain the precautions and contraindications of electrotherapy, including
18.28considerations regarding pathology of nerve and muscle tissue.
18.29(c) Clinical application training in the use of electrotherapy must include activities
18.30requiring the occupational therapy practitioner to:
18.31(1) formulate and justify a plan for the use of electrical stimulation devices for
18.32treatment appropriate to its use and simulate the treatment;
18.33(2) evaluate biophysical treatment effects of the electrical stimulation;
18.34(3) identify when modifications to the treatment plan using electrical stimulation are
18.35needed and propose the modification plan;
19.1(4) safely and appropriately administer electrical stimulation under supervision
19.2of a course instructor or clinical trainer;
19.3(5) document the parameters of treatment, case example (patient) response, and
19.4recommendations for progression of treatment for electrical stimulation; and
19.5(6) demonstrate the ability to work competently with electrical stimulation as
19.6determined by a course instructor or clinical trainer.
19.7    Subd. 5. Requirements for use of ultrasound. (a) An occupational therapist
19.8 therapy practitioner may use an ultrasound device if the occupational therapist therapy
19.9practitioner has received theoretical training and clinical application training in the use of
19.10ultrasound and been granted approval as provided in subdivision 7.
19.11(b) The theoretical training in the use of ultrasound must:
19.12(1) explain the rationale and clinical indications for the use of ultrasound, including
19.13anticipated physiological responses of the treated area;
19.14(2) describe the biophysical thermal and nonthermal effects of ultrasound on normal
19.15and abnormal tissue;
19.16(3) explain the physical principles of ultrasound, including wavelength, frequency,
19.17attenuation, velocity, and intensity;
19.18(4) explain the mechanism and generation of ultrasound and energy transmission
19.19through physical matter; and
19.20(5) explain the precautions and contraindications regarding use of ultrasound devices.
19.21(c) The clinical application training in the use of ultrasound must include activities
19.22requiring the practitioner to:
19.23(1) formulate and justify a plan for the use of ultrasound for treatment appropriate to
19.24its use and stimulate the treatment;
19.25(2) evaluate biophysical effects of ultrasound;
19.26(3) identify when modifications to the treatment plan for use of ultrasound are
19.27needed and propose the modification plan;
19.28(4) safely and appropriately administer ultrasound under supervision of a course
19.29instructor or clinical trainer;
19.30(5) document parameters of treatment, patient response, and recommendations for
19.31progression of treatment for ultrasound; and
19.32(6) demonstrate the ability to work competently with ultrasound as determined
19.33by a course instructor or clinical trainer.
19.34    Subd. 6. Occupational therapy assistant use of physical agent modalities. An
19.35occupational therapy practitioner licensed as an occupational therapy assistant may set
19.36up and implement treatment using physical agent modalities if the licensed occupational
20.1therapy assistant meets the requirements of this section, has applied for and received
20.2written approval from the commissioner to use physical agent modalities as provided in
20.3subdivision 7, has demonstrated service competency for the particular modality used, and
20.4works under the direct supervision of an occupational therapy practitioner licensed as an
20.5occupational therapist who has been granted approval as provided in subdivision 7. An
20.6occupational therapy practitioner licensed as an occupational therapy assistant who uses
20.7superficial physical agent modalities must meet the requirements of subdivision 3. An
20.8occupational therapy practitioner licensed as an occupational therapy assistant who uses
20.9electrotherapy must meet the requirements of subdivision 4. An occupational therapy
20.10practitioner licensed as an occupational therapy assistant who uses ultrasound must meet
20.11the requirements of subdivision 5. An occupational therapy practitioner licensed as an
20.12occupational therapist may not delegate evaluation, reevaluation, treatment planning, and
20.13treatment goals for physical agent modalities to an occupational therapy practitioner
20.14licensed as an occupational therapy assistant.
20.15    Subd. 7. Approval. (a) The advisory council shall appoint a committee to review
20.16documentation under subdivisions 2 to 6 to determine if established educational and
20.17clinical requirements are met. If, after review of course documentation, the committee
20.18verifies that a specific course meets the theoretical and clinical requirements in
20.19subdivisions 2 to 6, the commissioner may approve practitioner applications that include
20.20the required course documentation evidencing completion of the same course.
20.21(b) Occupational therapists therapy practitioners shall be advised of the status of
20.22their request for approval within 30 days. Occupational therapists therapy practitioners
20.23 must provide any additional information requested by the committee that is necessary to
20.24make a determination regarding approval or denial.
20.25(c) A determination regarding a request for approval of training under this
20.26subdivision shall be made in writing to the occupational therapist therapy practitioner. If
20.27denied, the reason for denial shall be provided.
20.28(d) A licensee An occupational therapy practitioner who was approved by the
20.29commissioner as a level two provider prior to July 1, 1999, shall remain on the roster
20.30maintained by the commissioner in accordance with subdivision 1, paragraph (c).
20.31(e) To remain on the roster maintained by the commissioner, a licensee an
20.32occupational therapy practitioner who was approved by the commissioner as a level one
20.33provider prior to July 1, 1999, must submit to the commissioner documentation of training
20.34and experience gained using physical agent modalities since the licensee's occupational
20.35therapy practitioner's approval as a level one provider. The committee appointed under
21.1paragraph (a) shall review the documentation and make a recommendation to the
21.2commissioner regarding approval.
21.3(f) An occupational therapist therapy practitioner who received training in the
21.4use of physical agent modalities prior to July 1, 1999, but who has not been placed on
21.5the roster of approved providers may submit to the commissioner documentation of
21.6training and experience gained using physical agent modalities. The committee appointed
21.7under paragraph (a) shall review documentation and make a recommendation to the
21.8commissioner regarding approval.

21.9    Sec. 28. Minnesota Statutes 2012, section 151.37, subdivision 2, is amended to read:
21.10    Subd. 2. Prescribing and filing. (a) A licensed practitioner in the course of
21.11professional practice only, may prescribe, administer, and dispense a legend drug, and may
21.12cause the same to be administered by a nurse, a physician assistant, or medical student or
21.13resident under the practitioner's direction and supervision, and may cause a person who
21.14is an appropriately certified, registered, or licensed health care professional to prescribe,
21.15dispense, and administer the same within the expressed legal scope of the person's practice
21.16as defined in Minnesota Statutes. A licensed practitioner may prescribe a legend drug,
21.17without reference to a specific patient, by directing a nurse, pursuant to section 148.235,
21.18subdivisions 8 and 9
, physician assistant, medical student or resident, or pharmacist
21.19according to section 151.01, subdivision 27, to adhere to a particular practice guideline or
21.20protocol when treating patients whose condition falls within such guideline or protocol,
21.21and when such guideline or protocol specifies the circumstances under which the legend
21.22drug is to be prescribed and administered. An individual who verbally, electronically, or
21.23otherwise transmits a written, oral, or electronic order, as an agent of a prescriber, shall
21.24not be deemed to have prescribed the legend drug. This paragraph applies to a physician
21.25assistant only if the physician assistant meets the requirements of section 147A.18.
21.26(b) The commissioner of health, if a licensed practitioner, or a person designated
21.27by the commissioner who is a licensed practitioner, may prescribe a legend drug to an
21.28individual or by protocol for mass dispensing purposes where the commissioner finds that
21.29the conditions triggering section 144.4197 or 144.4198, subdivision 2, paragraph (b), exist.
21.30The commissioner, if a licensed practitioner, or a designated licensed practitioner, may
21.31prescribe, dispense, or administer a legend drug or other substance listed in subdivision 10
21.32to control tuberculosis and other communicable diseases. The commissioner may modify
21.33state drug labeling requirements, and medical screening criteria and documentation, where
21.34time is critical and limited labeling and screening are most likely to ensure legend drugs
22.1reach the maximum number of persons in a timely fashion so as to reduce morbidity
22.2and mortality.
22.3    (c) A licensed practitioner that dispenses for profit a legend drug that is to be
22.4administered orally, is ordinarily dispensed by a pharmacist, and is not a vaccine, must
22.5file with the practitioner's licensing board a statement indicating that the practitioner
22.6dispenses legend drugs for profit, the general circumstances under which the practitioner
22.7dispenses for profit, and the types of legend drugs generally dispensed. It is unlawful to
22.8dispense legend drugs for profit after July 31, 1990, unless the statement has been filed
22.9with the appropriate licensing board. For purposes of this paragraph, "profit" means (1)
22.10any amount received by the practitioner in excess of the acquisition cost of a legend drug
22.11for legend drugs that are purchased in prepackaged form, or (2) any amount received
22.12by the practitioner in excess of the acquisition cost of a legend drug plus the cost of
22.13making the drug available if the legend drug requires compounding, packaging, or other
22.14treatment. The statement filed under this paragraph is public data under section 13.03.
22.15This paragraph does not apply to a licensed doctor of veterinary medicine or a registered
22.16pharmacist. Any person other than a licensed practitioner with the authority to prescribe,
22.17dispense, and administer a legend drug under paragraph (a) shall not dispense for profit.
22.18To dispense for profit does not include dispensing by a community health clinic when the
22.19profit from dispensing is used to meet operating expenses.
22.20    (d) A prescription or drug order for the following drugs is not valid, unless it can be
22.21established that the prescription or order was based on a documented patient evaluation,
22.22including an examination, adequate to establish a diagnosis and identify underlying
22.23conditions and contraindications to treatment:
22.24    (1) controlled substance drugs listed in section 152.02, subdivisions 3 to 5;
22.25    (2) drugs defined by the Board of Pharmacy as controlled substances under section
22.26152.02, subdivisions 7 , 8, and 12;
22.27    (3) muscle relaxants;
22.28    (4) centrally acting analgesics with opioid activity;
22.29    (5) drugs containing butalbital; or
22.30    (6) phoshodiesterase type 5 inhibitors when used to treat erectile dysfunction.
22.31    (e) For the purposes of paragraph (d), the requirement for an examination shall be
22.32met if an in-person examination has been completed in any of the following circumstances:
22.33    (1) the prescribing practitioner examines the patient at the time the prescription
22.34or drug order is issued;
22.35    (2) the prescribing practitioner has performed a prior examination of the patient;
23.1    (3) another prescribing practitioner practicing within the same group or clinic as the
23.2prescribing practitioner has examined the patient;
23.3    (4) a consulting practitioner to whom the prescribing practitioner has referred the
23.4patient has examined the patient; or
23.5    (5) the referring practitioner has performed an examination in the case of a
23.6consultant practitioner issuing a prescription or drug order when providing services by
23.7means of telemedicine.
23.8    (f) Nothing in paragraph (d) or (e) prohibits a licensed practitioner from prescribing
23.9a drug through the use of a guideline or protocol pursuant to paragraph (a).
23.10    (g) Nothing in this chapter prohibits a licensed practitioner from issuing a
23.11prescription or dispensing a legend drug in accordance with the Expedited Partner Therapy
23.12in the Management of Sexually Transmitted Diseases guidance document issued by the
23.13United States Centers for Disease Control.
23.14    (h) Nothing in paragraph (d) or (e) limits prescription, administration, or dispensing
23.15of legend drugs through a public health clinic or other distribution mechanism approved
23.16by the commissioner of health or a board of health in order to prevent, mitigate, or treat
23.17a pandemic illness, infectious disease outbreak, or intentional or accidental release of a
23.18biological, chemical, or radiological agent.
23.19    (i) No pharmacist employed by, under contract to, or working for a pharmacy
23.20licensed under section 151.19, subdivision 1, may dispense a legend drug based on a
23.21prescription that the pharmacist knows, or would reasonably be expected to know, is not
23.22valid under paragraph (d).
23.23    (j) No pharmacist employed by, under contract to, or working for a pharmacy
23.24licensed under section 151.19, subdivision 2, may dispense a legend drug to a resident
23.25of this state based on a prescription that the pharmacist knows, or would reasonably be
23.26expected to know, is not valid under paragraph (d).
23.27(k) Nothing in this chapter prohibits the commissioner of health, if a licensed
23.28practitioner, or, if not a licensed practitioner, a designee of the commissioner who is
23.29a licensed practitioner, from prescribing legend drugs for field-delivered therapy in the
23.30treatment of a communicable disease according to the Centers For Disease Control and
23.31Prevention Partner Services Guidelines.

23.32    Sec. 29. REPEALER.
23.33(a) Minnesota Statutes 2012, sections 144.1487; 144.1488; 144.1489; 144.1490; and
23.34144.1491, are repealed.
24.1(b) Minnesota Statutes 2012, sections 146B.03, subdivision 10; 325F.814; and
24.2609.2246, are repealed.
24.3(c) Minnesota Statutes 2012, sections 148.7808, subdivision 2; and 148.7813, are
24.4repealed.
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