United States · United States Congress · 10 November 1999
Consumer's Right to Financial Privacy Act - Amends the Gramm-Leach-Bliley Act to revamp financial institution obligations regarding disclosures of personal information sharing. Prohibits such institutions from either disclosing, or making unrelated use, of nonpublic personal information collected in a consumer transaction unless the institution has notified the consumer in accordance with prescribed regulations. (Currently such disclosure or unrelated use is permitted with institutional affiliates without prior notice to consumers.) Requires the consumer's affirmative consent (opt-in) to any such information sharing between a financial institution, its affiliates, or any other person that is neither an employee or agent of such institution. (Current law permits nonpublic personal consumer information sharing by a financial institution with nonaffiliated third parties for marketing and other purposes, unless the consumer opts out in writing.) Mandates that designated regulatory agencies promulgate regulations that: (1) require affirmative consumer consent as a prerequisite to any information sharing by a financial institution; (2) prohibit a financial institution from denying a product or service to a consumer who has denied consent to such information transfer; and (3) require consumer access and opportunity to dispute nonpublic personal information made available by the institution to persons other than its own personnel. Prohibits a financial institution from disclosing a consumer's access number or code to both an affiliated or nonaffiliated third party for use in telemarketing, direct mail marketing, or other marketing through electronic mail to the consumer. (Current law permits such disclosure to affiliates). Restricts nonpublic personal information received from a financial institution by an affiliate or nonaffiliated third party from being further disclosed to another affiliate or nonaffiliated third party of both the financial institution and such recipient. Requires designated regulatory agencies to promulgate proscriptions against unfair and deceptive practices in connection with either the disclosure of nonpublic personal information, or with making unrelated uses of that information. Prescribes regulation contents, including a requirement that a financial institution disclose to the consumer: (1) the categories of nonpublic personal information the institution collects; and (2) its practices and policies with respect to disclosing or making unrelated uses of it. Authorizes the States to enjoin violations of this Act. Amends the Fair Credit Reporting Act to direct the Federal Trade Commission (FTC) to prescribe implementing regulations with respect to this Act. Authorizes the Secretary of the Treasury to promulgate procedural guidelines governing State election to participate in the enforcement of this Act. Provides that protection under State law that is greater than the protection accorded under this Act (as determined by either the FTC or a Federal functional regulator) shall not be deemed inconsistent with this Act. Repeals the exemption granting permission to State-licensed private investigators acting under court authorization to obtain customer information of a financial institution for purposes of collecting child support from a person adjudged delinquent. Confers enforcement authority upon the States with respect to violations pertaining to fraudulent access to financial information under this Act.
United States · United States Congress · 9 November 1999
School Environment Protection Act of 1999 - Amends the Federal Insecticide, Fungicide, and Rodenticide Act to require the Administrator of the Environmental Protection Agency (EPA) to establish a National School Integrated Pest Management Advisory System to develop and update uniform standards and criteria for implementing integrated pest management systems in schools. Directs local educational agencies (LEAs) of school districts to develop and implement systems in schools in compliance with this Act. Permits LEAs to continue to implement existing State systems that meet this Act's standards and criteria. Applies this Act's requirements to pesticide application in school buildings and on school grounds. Requires schools to prohibit: (1) the application of a pesticide when a school or school ground is occupied or in use; or (2) the use of an area or room treated by a pesticide, other than a least toxic pesticide, during the 24-hour period beginning at the end of the treatment. Requires the Administrator to establish a National School Integrated Pest Management Advisory Board. Directs the Board, among other duties, to: (1) review pesticides used in schools for their acute toxicity and chronic effects; and (2) recommend a list of least toxic pesticides. Authorizes the Board to recommend restrictions on pesticide use in schools. Requires the Administrator to: (1) establish a list of least toxic pesticides that may be used in schools; (2) publish pesticide restrictions in the Federal Register; and (3) issue findings on whether use of registered pesticides in schools may endanger children's health. Directs the Administrator to appoint an official for school pest management within the EPA Office of Pesticide Programs to coordinate integrated pest management systems in schools. Requires LEAs to: (1) designate contact persons for carrying out such systems; (2) maintain all pesticide use data for each school in the district and make such data publicly available; and (3) include notice of such systems in forms of universal notification at the beginning of each school year. Permits the use of a pesticide only if the pesticide has been disclosed in such notice. Prescribes procedures to be followed if a pest cannot be controlled after having used an integrated pest management system and least toxic pesticides, including prior notification of parents, guardians, and staff members of the use of a pesticide and posting of signs. Prescribes alternative procedures in emergency situations. Provides for public comments, through school board meetings, on integrated pest management systems. Establishes a complaint procedure to remedy violations of this Act. Prescribes civil penalties for violations. Establishes the Integrated Pest Management Trust Fund to carry out education, training, propagation, and development activities under integrated pest management systems of schools to remedy the harmful effect of actions taken by persons who paid civil penalties. Describes remedies for employees alleging violations of this Act. Directs the Administrator to provide grants to LEAs to develop systems under this Act. Prohibits, no later than six years after this Act's enactment, the use of any pesticide other than a least toxic pesticide in schools unless the Administrator has met the requirements of this Act. Authorizes appropriations.
United States · United States Congress · 8 November 1999
Small Business Pension Accessibility Act of 1999 - Amends the Employee Retirement Income Security Act of 1974 (ERISA) to set the Pension Benefit Guaranty Corporation (PBGC) insurance premium rate at $5 for each individual plan participant in the case of a new single-employer defined benefit plan maintained by a small employer. Provides for reductions of additional PBGC premiums for new and small defined benefit plans.
United States · United States Congress · 4 November 1999
Corporate Welfare Reform Commission Act of 1999 - Establishes the independent Corporate Welfare Reform Commission, which shall identify programs and tax laws that provide inequitable Federal programs and payments.
United States · United States Congress · 3 November 1999
Declares that the House of Representatives: (1) applauds and supports the work of the young people from across the United States who participated in the recent Voices Against Violence teen conference in Washington, D.C.; and (2) recognizes the importance of youth involvement in the development of national policy solutions to youth violence. Encourages: (1) the continued involvement of youth in their schools and their communities to address youth violence; (2) Members to promote efforts in their districts to end youth violence; and (3) Members to take immediate action to comprehensively address youth violence and actively involve young people in the decision-making process.
United States · United States Congress · 1 November 1999
Hunger Relief Act of 1999 - Amends the Personal Responsibility and Work Opportunity Reconciliation Act of 1996 to remove specified restrictions on qualified aliens' eligibility for food stamp and supplemental security income benefits. Exempts food stamp provisions respecting aliens from: (1) the five-year waiting period for Federal means-tested public benefits eligibility; (2) inclusion of sponsor income and resources to an alien for State benefits eligibility; and (3) sponsor reimbursement requirements in cases of hardship. Sets forth effective dates for: (1) aliens; and (2) refugees and asylees. (Sec. 3) Amends the Food Stamp Act of 1977 to authorize a State to use an alternative State auto valuation rather than the Federal one in order to provide a lower household resource attribution for food stamp program purposes. (Sec. 4) Increases, and indexes for inflation, the food stamp excess shelter deduction. (Sec. 5) Amends the Emergency Food Assistance Act of 1983 to authorize additional appropriations for commodity purchases under the emergency food assistance program.
United States · United States Congress · 28 October 1999
Strengthening Social Security and Medicare Act of 1999 - Amends title II (Old Age, Survivors, and Disability Insurance) of the Social Security Act (SSA) to make additional appropriations, in amounts prescribed by a specified formula, and allocated between the Federal Old-Age and Survivors Insurance Trust Fund and the Federal Disability Insurance Trust Fund (Trust Funds), through FY 2016 to assure that the interest savings on the public debt achieved as a result of Social Security surpluses from 2000 to 2015 are dedicated to Social Security solvency. Amends the Congressional Budget Act of 1974 to make it out of order in Congress to consider any budget resolution that would: (1) set forth an on-budget deficit for any fiscal year; or (2) decrease the on-budget surplus below a level of Medicare surplus reserve determined according to a certain formula, except for any portion of such reserve appropriated in new amounts for Medicare prescription drug benefits, or to the Medicare Hospital Insurance Trust Fund. Amends the Balanced Budget and Emergency Deficit Control Act of 1985 (Gramm- Rudman-Hollings Act) to extend: (1) discretionary spending limits in specified amounts; (2) the pay-as-you-go requirement; (3) the Act itself; and (4) the Social Security firewall. Declares that any legislation that would reduce, reverse, or repeal the transfers to the Trust Funds made by this Act shall not be counted on the pay-as-you-go scorecard and shall not be included in any pay- as-you-go estimates of the Congressional Budget Office or the Office of Management and Budget under the Gramm-Rudman-Hollings Act.
United States · United States Congress · 27 October 1999
Comprehensive Antitrafficking in Persons Act of 1999 - Directs the President to establish an Interagency Task Force to Monitor and Combat Trafficking, chaired by the Secretary of State (the Secretary). Authorizes the Secretary to establish within the Department of State an Office to Monitor and Combat Trafficking, which shall provide assistance to the Task Force and be administered by a Director. Directs the Task Force to carry out the following activities: (1) coordinate implementation of this Act; (2) measure and evaluate the progress of the United States and countries around the world in the areas of trafficking prevention, protection and assistance to trafficking victims, and prosecution and enforcement against traffickers; (3) expand interagency procedures to collect and organize data; and (4) engage in efforts to facilitate cooperation among countries of origin, transit, and destination. (Sec. 5) Requires the President, acting through: (1) the United States Agency for International Development (AID) and the heads of other appropriate agencies, to establish and carry out initiatives to enhance economic opportunity for potential victims of trafficking as a method to deter trafficking; and (2) the Attorney General and the Secretaries of State, Labor, and Health and Human Services (HHS), to establish and carry out programs to increase public awareness, particularly among potential victims, of the dangers of trafficking and the protections that are available for its victims. (Sec. 6) Directs the Secretary and the Administrator of AID to: (1) establish and carry out programs and initiatives in foreign countries to assist in the safe reintegration of victims of trafficking and their children; and (2) take all appropriate steps to enhance cooperative efforts among foreign countries to assist in the appropriate reintegration of stateless victims of trafficking with respect to the establishment and conduct of programs and initiatives. Requires the Attorney General, the Secretaries of HHS and Labor, and the Board of Directors of the Legal Services Corporation to expand existing services to provide assistance to victims of trafficking within the United States, without regard to their immigration status. Makes victims of trafficking in the United States eligible, without regard to their immigration status, for any benefits that are otherwise available under the Crime Victims Fund. Authorizes the Attorney General to make grants to States, U.S. territories and possessions, Indian tribes, local governments, and nonprofit, nongovernmental victims' service organizations to develop, expand, or strengthen victim service programs for trafficking victims. Requires an eligible governmental unit or organization, to receive a grant, to certify that its laws, policies, and practices do not punish or deny services to trafficking victims on account of the nature of their employment or services performed in connection with such trafficking. Sets forth provisions regarding fund allocation and the Federal share. Authorizes individuals who are victims of Federal criminal code (the code) violations regarding trafficking and criminal exploitation of workers to bring a civil action in U.S. district court. Directs the Attorney General and the Secretary to promulgate regulations for law enforcement personnel, immigration officials, and Department of State officials to implement the following: (1) trafficking victims, while in Federal custody, shall be housed in appropriate shelter as quickly as possible; receive prompt medical care, food, and other assistance; and be provided protection if a victim's safety is at risk or if there is danger of additional harm by recapture of the victim by a trafficker; (2) Federal law enforcement officials should act, to ensure an alien individual's continued presence in the United States, if after an assessment it is determined that such individual is a trafficking victim or a material witness, in order to effectuate prosecution of those responsible and to further U.S. humanitarian interests; and (3) appropriate Department of State and Department of Justice personnel shall be trained in identifying victims of trafficking and in providing for their protection. Makes funding available. (Sec. 7) Amends the Immigration and Nationality Act (INA) to establish a new non-immigrant classification for an alien (and the alien's spouse, children, and parents if accompanying or following to join the alien) who the Attorney General determines: (1) possesses material information concerning criminal or other unlawful activity; (2) is willing to supply or has supplied such information to Federal or State law enforcement officials; (3) would be helpful, were the alien to remain in the United States, to a properly authorized Federal or State investigation or prosecution of the criminal or other unlawful activity; and (4) has suffered significant physical or mental abuse as a result of the criminal or other unlawful activity. Amends the Illegal Immigration Reform and Immigrant Responsibility Act of 1996 to provide that: (1) the number of aliens admitted in a fiscal year under such classification may not exceed 1,000; (2) no alien may be admitted into the United States as such a non-immigrant more than five years after the date of the enactment of such provision; (3) the period of authorized admission of an alien as such a non-immigrant may not exceed three years (which can not be extended by the Attorney General); and (4) as a condition for admission and continued stay in lawful status the non-immigrant may not be convicted of a criminal offense punishable by a term of imprisonment of one year or more after the date of admission, the non-immigrant must have executed a form that waives the right to contest (other than on the basis of an application for withholding removal) any action for removal of the alien instituted before the alien obtains lawful permanent resident status, and the non-immigrant shall abide by any other condition or restriction imposed by the Attorney General. Prohibits a change of non-immigrant classification for such aliens. Amends the INA to authorize the Attorney General to adjust the status of such an alien to one lawfully admitted for permanent residence if, in the Attorney General's opinion, the alien's continued presence in the United States is justified on humanitarian grounds or is otherwise in the national interest, and the alien meets other specified conditions. (Sec. 8) Allows the President to impose specified measures against any foreign country that has made little or no progress on reducing trafficking, implementing any necessary anti-trafficking laws, enforcing anti-trafficking laws, or protecting and assisting trafficking victims. Authorizes the President to: (1) deny U.S. Government assistance, with exceptions; (2) instruct the U.S. Executive Director to specified international financial institutions to use the voice and vote of the United States to oppose any loan or financial or technical assistance to the country by such institution; (3) prohibit the transfer of defense articles, services, or design and construction services under the Arms Export Control Act to the country or any national; (4) prohibit or substantially restrict exports to the country of goods, technology and services, and suspend existing licenses for the transfer to that person of items the export of which is controlled under the Export Administration Act of 1979 or the Export Administration Regulations; and (5) exercise certain authorities under the International Emergency Economic Powers Act. Authorizes the Secretary to make a determination of those persons who are trafficking in the United States or its territories and possessions and, if such a determination is made, publish the list in the Federal Register. Directs the President to report to Congress on measures applied under this section and the reasons for their application. (Sec. 9) Amends the code to double the term of imprisonment for specified slavery-related offenses. Provides for enhanced penalties where death results if the violation includes kidnaping (or an attempt to kidnap), aggravated sexual abuse (or an attempt to commit such abuse), or an attempt to kill. Prohibits, and sets penalties for: (1) specified actions with respect to the trafficking and criminal exploitation of workers, including knowingly benefitting from the labor or services of a person held to a condition of involuntary servitude or peonage; and (2) destruction, concealment, and unlawful possession of documents in furtherance of trafficking, criminal worker exploitation, involuntary servitude, or peonage. Directs the court to order restitution for offenses under this section. Sets forth provisions regarding proof of a condition of involuntary servitude or peonage, punishment of attempts to violate specified provisions of this Act, and forfeiture to the United States. Directs the United States Sentencing Commission to review and, if appropriate, amend the sentencing guidelines and policy statements applicable to persons convicted of offenses involving the trafficking of persons. (Sec. 10) Directs the Secretary, as part of the annual Country Reports on Human Rights Practices, to include specified information to address the status of international trafficking in persons. (Sec. 11) Authorizes appropriations for the Interagency Task Force, and to the Secretary of HHS, the Secretary, the Attorney General, the President, and the Secretary of Labor, for FY 2001-2002 to carry out this Act.
United States · United States Congress · 27 October 1999
Teacher Training in Technology Flexibility Act (or the Tech Flex Act) - Amends the Technology for Education Act of 1994 (which is title III of the Elementary and Secondary Education Act of 1965) to revise provisions for Federal leadership, State and local applications, local uses of funds, and national challenge grants to provide for use of funds for release time and other incentives for teachers and other appropriate personnel to participate in professional development relating to the use of technology in education and in the development of technology applications.
United States · United States Congress · 25 October 1999
Providing Reliable Officers, Technology, Education, Community Prosecutors, and Training In Our Neighborhoods Act of 1999 or PROTECTION Act - Modifies provisions of the Omnibus Crime Control and Safe Streets Act of 1968 (the Act) regarding public safety and community policing ("cops on the beat" program, COPS) to authorize the Attorney General to use funding under COPS grants to: (1) increase prosecutor presence and to enhance law enforcement access to new technologies; (2) pay overtime to existing career law enforcement officers to the extent that such overtime is devoted to community policing efforts; and (3) promote higher education among in-service State and local law enforcement officers by reimbursing them for the costs associated with seeking a college or graduate school education. Includes among permitted additional grant projects: (1) specialized integrity and ethics training; (2) innovative proactive crime control and prevention programs involving school officials and religiously-affiliated organizations; (3) school-based partnerships between local law enforcement agencies and local school systems by using school resource officers who operate in and around elementary and secondary schools (current law) to serve as a law enforcement liaison with other Federal, State, and local law enforcement and regulatory agencies and to combat gang membership and criminal activity, firearms and explosives-related incidents, illegal use and possession of alcohol, and the illegal possession, use, and distribution of drugs; and (4) innovative programs that bring together a community's sheriff, police chief, and elderly residents to address the public safety concerns of older citizens. Authorizes the Attorney General to use up to five percent of appropriated funds for technical assistance and training to States, local governments, Indian tribal governments, and other public and private entities. Requires the technical assistance provided by the Attorney General to include the establishment and operation of regional community policing institutes training centers or facilities. Permits the functions of the centers or facilities to include instruction and seminars for specified individuals, including representatives of police labor and management organizations and community residents. Repeals provisions of the Act regarding: (1) termination of grants for hiring officers; and (2) preferential consideration of applications for certain grants. Allows grants to be used to assist: (1) police departments in employing specified professional, scientific, and technological advancements; and (2) State, local, or tribal prosecutors' offices in implementation of community-based prosecution programs that build on local community policing efforts. Reserves specified funds for units of local government with a population of less than 50,000. Authorizes the Attorney General to use no more than 50 percent of grant renewal funds to award grants targeted specifically for retention of police officers to grantees in good standing, with preference to those that demonstrate financial hardship or severe budget constraint that impacts the entire local budget and may result in the termination of employment for officers. Redefines: (1) "career law enforcement officer" to include sheriffs' deputies charged with supervising offenders who are released into the community but also engaged in local community policing efforts; and (2) "school resource officer" to mean a career law enforcement officer deployed in community-oriented policing and assigned to work in collaboration with schools and community-based organizations (as under current law) to engage in specified activities, including serving as a law enforcement liaison with other Federal, State, and local law enforcement and regulatory agencies to address and document crime and disorder problems, training students in conflict resolution and crime awareness, and assisting school administrators with the preparation of an annual report on the number of students expelled per year for bringing a weapon, firearm, or explosive to school. Authorizes appropriations.
United States · United States Congress · 21 October 1999
Young Witness Assistance Act of 1999 - Authorizes the Director of the Bureau of Justice Assistance to make grants to State and local prosecutors and law enforcement agencies in support of juvenile (17 years of age or younger) and young adult (between 18 and 21 years of age) witness assistance programs. Authorizes grant funds to be used, among other things, for: (1) counseling services to young witnesses of a violent crime; and (2) protective services for young witnesses and their families when a serious threat of harm is made from perpetrators or their associates. Authorizes appropriations for FY 2001 through 2003.
United States · United States Congress · 18 October 1999
Amends Federal rail transportation law to prohibit a railroad carrier (including its officers and agents) from requiring a train employee who has been on duty or available for it for any portion of each of seven consecutive days to go on duty or be available for it until at least 72 consecutive hours have passed after the employee is released from duty or availability.
United States · United States Congress · 13 October 1999
Designates the Federal building and United States courthouse located at 617 State Street in Erie, Pennsylvania, as the Samuel J. Roberts Federal Building and United States Courthouse.
United States · United States Congress · 7 October 1999
Pension Reduction Disclosure Act of 1999 - Amends the Employee Retirement Income Security Act of 1974 (ERISA) and the Internal Revenue Code to set forth notice requirements for pension plans which significantly reduce future benefit accruals. Requires additional information to be provided in such notice by large pension plans with 100 or more active participants. Imposes an excise tax upon failure of pension plans to provide such notice.
United States · United States Congress · 7 October 1999
Smaller Schools, Stronger Communities Act - Amends the Elementary and Secondary Education Act of 1965 (ESEA) to authorize the Secretary of Education to provide flexible challenge grants to local educational agencies (LEAs) to implement and administer plans to create smaller schools. (Sets forth such Smaller Schools program as a new part L of title X, Programs of National Significance, of ESEA.) Requires the Secretary, in awarding such grants, to: (1) consider the number of students served and the number, location, and size of the schools; (2) assure an equitable distribution of assistance among urban and rural areas of the Nation and of a State; and (3) give priority to LEAs that establish a target number of not more than 600 students for attendance at (or in a self-operating academic unit within) each high school, and not more than 400 for each elementary school or middle school. Allows use of grant funds for: (1) hiring additional staff; (2) planning, feasibility studies, and architectural fees to design or remodel school facilities; and (3) other reasonable expenses. Prohibits use of grant funds to cover costs directly associated with the renovation of existing facilities or the purchase or construction of new facilities. Authorizes appropriations.
United States · United States Congress · 7 October 1999
Expresses the sense of the House of Representatives that: (1) the Federal Government has a responsibility to continue to increase diabetes research funding, endeavor to raise awareness of the importance of the early detection and proper treatment, and consider ways to improve access to, and the quality of, health care services for diagnosing and treating diabetes; (2) all Americans should take an active role in fighting diabetes by using all the means available; and (3) national and community organizations and health care providers should endeavor to promote awareness of diabetes and its complications, and encourage early detection.
United States · United States Congress · 6 October 1999
National Amusement Park Ride Safety Act of 1999 - Amends the Consumer Product Safety Act to include amusement rides that are permanently fixed to a site in the definition of "consumer product" (thereby giving the Consumer Product Safety Commission jurisdiction over such amusement rides). Authorizes appropriations to carry out the Act as amended by this Act.
United States · United States Congress · 5 October 1999
Russian Economic Restoration and Justice Act of 1999 - Amends the Bretton Woods Agreements Act to direct the Secretary of the Treasury to instruct the U.S. Executive Director at the International Monetary Fund (IMF) to use the U.S. vote to urge the IMF to: (1) not provide any assistance to the Russian Federation government until there is in effect a Russian federal law that implements specified economic reforms; and (2) provide assistance to the Russian Federation only to aid in implementation of such reforms. Establishes a Russian-American financial oversight commission to monitor the use of Western resources in Russia. Expresses the sense of Congress that: (1) there should be established joint United States-Russian business, economics, and agricultural education programs in which Russian Federation students on completion of their studies in the United States be required to return to the Russian Federation and work for the federal or regional government in Russia; and (2) the United States and the government of the Russian Federation should create a program which would link successful U.S. business leaders with their Russian Federation counterparts so that Russian Federation companies will be better able to access a pool of resources and knowledge to assist them in their transition to successfully competing in a market-based economy. Directs the Secretary of the Treasury to instruct the U.S. Executive Director at the IMF to use the U.S. vote to urge the IMF to create a commission, composed of prominent international financial experts, to draw up recommendations for reforming the IMF, with a view to achieving more transparency in the structures of the IMF and increasing the effectiveness of its programs while decreasing financial risk. Establishes a pilot housing loan program (to be administered through a nonprofit corporation) in which the average Russian citizen may attain affordable home ownership.
United States · United States Congress · 5 October 1999
Electronic Commerce Crime Prevention and Protection Act - Prohibits any person from making or publishing a notice or advertisement, that will be transported in interstate or foreign commerce by computer, for producing, obtaining, or disposing of a firearm, ammunition, or explosive material.
United States · United States Congress · 4 October 1999
Medicare Return To Home Act of 1999 - Amends title XVIII (Medicare) of the Social Security Act to permit a Medicare+Choice (Medicare part C) beneficiary to elect to receive covered home skilled nursing facility (SNF) services at specified SNFs that meet certain conditions if the Medicare+Choice plan covers post-hospital extended care services.
United States · United States Congress · 28 September 1999
Keep Our Promise to America's Military Retirees Act - Amends Federal employee provisions to include the following as an employee, for purposes of authorized enrollment under the Federal Employees Health Benefits (FEHB) Program: (1) a member of the armed forces who began service before June 7, 1956, and retired after a minimum of 20 years of such service or by reason of a service-connected disability; and (2) the surviving widow or widower of such member. Directs the Secretary of Defense to enter into an agreement with the Office of Personnel Management to provide FEHB coverage to the following eligible beneficiaries: (1) a member or former member entitled to military retired or retainer pay who is also entitled to hospital insurance benefits under part A of title XVIII (Medicare) of the Social Security Act; (2) an unremarried former spouse who was married to a member for at least 20 years, during which such member performed at least 20 years of retirement-creditable military service; (3) a dependent of a deceased qualifying member or former member; (4) a dependent of a living member or former member who is entitled to Medicare hospital insurance benefits; and (5) a family member of such member. Repeals a provision prohibiting coverage under the Civilian Health and Medical Program of the Uniformed Services for persons entitled to hospital insurance benefits under part A of title XVIII (Medicare) of the Social Act.
United States · United States Congress · 27 September 1999
Amends the Internal Revenue Code to allow businesses a limited reclamation credit of 20 percent of the basis of each qualified reclamation property placed in service during the taxable year. Defines qualified reclamation property as, among other things, qualified recycling property or qualified remanufacturing property.
United States · United States Congress · 22 September 1999
Calls upon the President: (1) not to participate in any international negotiation in which antidumping or antisubsidy rules are part of the negotiating agenda; (2) to refrain from submitting for congressional approval agreements that require changes to the current antidumping and countervailing duty laws and enforcement policies of the United States; and (3) to enforce the antidumping and countervailing duty laws vigorously in all pending and future cases.
United States · United States Congress · 21 September 1999
East Timor Self-Determination Act of 1999 - Declares that: (1) Congress recognizes that the Government of Indonesia took a positive step by agreeing on September 12, 1999, to the deployment of an international peacekeeping force to East Timor; and (2) the purpose of this Act is to encourage such Government to take such additional steps as are necessary to create a peaceful environment in which the United Nations Assistance Mission in East Timor (UNAMET) can fulfill its mandate and implement the results of the August 30, 1999, vote on East Timor's political status. Prohibits the provision of multilateral and bilateral economic assistance (except humanitarian assistance), or military assistance, or the licensing or delivery of exports of defense articles or defense services (except in connection with the international peacekeeping force) to the Government of Indonesia or East Timor. Urges the President to continue to coordinate with other countries, particularly member states of the Asia-Pacific Economic Cooperation (APEC) Forum, to develop a comprehensive, multilateral strategy to further the purposes of this Act.
United States · United States Congress · 21 September 1999
Clean Smokestacks Act of 1999 - Amends the Clean Air Act (CAA) to require the Administrator of the Environmental Protection Agency to promulgate regulations to achieve specified reductions in emissions of sulfur dioxide, nitrogen oxides, carbon dioxide, and mercury from powerplants (electric generation facilities with a nameplate capacity of 15 megawatts or greater that use a combustion device to generate electricity for sale) by January 1, 2005. Requires outdated powerplants, on the later of the date 30 years after the powerplant commenced operation or five years after this Act's enactment, to comply with the most recent new source performance standards under CAA provisions regarding air quality and emissions limitations and with specified requirements for modified sources. Defines an "outdated powerplant" as a powerplant that has been in operation for 30 years or more.
United States · United States Congress · 21 September 1999
Declares that the House of Representatives: (1) expresses its sympathies to the citizens of Nantou and Taichung and all of Taiwan for the tragic losses suffered as a result of the September 21, 1999, earthquake; (2) expresses its support for the people of Taiwan and for disaster assistance being provided by the United States Agency for International Development and other relief agencies; and (3) recognizes and encourages the important assistance that could be provided by other nations.
United States · United States Congress · 15 September 1999
Medicare Vision Rehabilitation Coverage Act of 1999 - Amends title XVIII (Medicare) of the Social Security Act to provide for coverage of vision rehabilitation services under the Medicare program.
United States · United States Congress · 5 August 1999
AIDS Marshall Plan Fund for Africa Act - Amends the Foreign Assistance Act of 1961 to establish the AIDS Marshall Plan Fund for Africa Corporation (AMPFA Corporation) which shall carry out a program to provide assistance for HIV-AIDS research, prevention, and treatment activities in Africa. Establishes the AIDS Marshall Plan Fund for Africa which shall consist of contributions from private sources and from foreign governments, including the governments of other G-8 countries (France, Germany, Japan, the United Kingdom, the United States, Canada, Italy, and Russia). Authorizes appropriations.
United States · United States Congress · 5 August 1999
Bipartisan Consensus Managed Care Improvement Act of 1999 - Title I: Improving Managed Care - Subtitle A: Grievances and Appeals - Requires a group health plan, and a health insurance issuer that provides health insurance coverage, to conduct utilization review activities that monitor or evaluate the use or coverage, clinical necessity, appropriateness, efficacy, or efficiency of health care services, procedures, or settings. (Sec. 102) Requires a plan and an issuer to provide appropriate notices to the participant, beneficiary, or enrollee for benefit claims it has denied that include reasons for denial and instructions for initiating specified internal appeals procedures, which must include procedures for an expedited review process in emergency situations. (Sec. 103) Outlines external appeals procedures for the timely resolution of certain denied claims through the use of qualified external appeal entities, which shall determine whether the plan's or issuer's decision is in accordance with the patient's medical needs. Declares that an external appeal entity's determination is binding on the plan and issuer involved. Provides for court-imposed civil monetary penalties and cease and desist orders against authorized officials of plan or issuers who refuse to timely follow the determination of an external appeal entity to provide a benefit. (Sec. 104) Requires a plan and an issuer to establish a system featuring specified components for the presentation and resolution of grievances brought by participants, beneficiaries, or enrollees, or health care providers or other individuals acting on behalf of an individual either with the individual's consent or without it if the individual is medically unable to provide it. Declares that grievances are not subject to appeal under this subtitle. Subtitle B: Access to Care - Provides that if an issuer offers coverage of services only if they are furnished through members of a network of health care professionals and providers contracting with the issuer, the issuer shall also offer the option of coverage of such services which are not furnished through members of such a network, unless enrollees are offered such non-network coverage through another plan or issuer in the group market. Makes the enrollee bear the cost of any additional premium the issuer charges for such option, and the amount of any additional cost sharing, unless it is paid by the health plan sponsor through agreement with the issuer. (Sec. 112) States that if a plan or an issuer requires or provides for designation of a participating primary care provider by a participant, a beneficiary, or an enrollee, then the plan or issuer shall permit each such person to designate any participating primary care provider available to accept such individual. Requires a plan and an issuer to permit each participant, beneficiary, or enrollee to receive medically necessary or appropriate speciality care, pursuant to appropriate referral procedures, from any qualified participating health care professional available to accept such individual. Waives such requirement in the case of specialty care if the plan or issuer clearly informs each participant, beneficiary, and enrollee of the limitations on choice of participating professionals with respect to such care. (Sec. 113) Requires a plan or an issuer providing any emergency hospital benefits to cover emergency services: (1) without the need for any prior authorization determination; (2) whether or not the health care provider furnishing such services is a participating health care provider; and (3) without regard to any other term or condition of such coverage (other than exclusion or coordination of benefits, or an affiliation or waiting period, permitted under the Public Health Service Act, the Employee Retirement Income Security Act of 1974 (ERISA), or the Internal Revenue Code, and other than applicable cost-sharing). Requires such coverage in a manner so that, if the emergency services are provided by a nonparticipating health care provider with or without prior authorization or by a participating provider without such authorization, the participant, beneficiary, or enrollee is not liable for amounts exceeding the liability that would be incurred if the services were provided by a participating provider with prior authorization. Prescribes the same coverage for maintenance care or post-stabilization care (subject to certain guidelines) by nonparticipating health care providers. (Sec. 114) Requires plans and issuers to refer participants, beneficiaries, or enrollees who have a serious disease or condition requiring treatment by a specialist to an appropriate specialist who is available and accessible (regardless of whether the specialist is participating or nonparticipating), provided the benefits for such treatment are covered by the plan or issuer. Sets forth rules governing referrals and specialists. (Sec. 115) Prohibits a plan or an issuer that requires or provides for designation of a participating primary care professional from requiring authorization or a referral by such primary care professional for gynecological care and pregnancy-related services provided by a participating health care professional (including a specialist). Requires the plan or issuer to treat the ordering of other obstetrical or gynecological care by such a participating professional as the authorization of the primary care professional. (Sec. 116) Requires certain plans and issuers to permit an enrollee to designate a pediatrician as a primary care provider for the enrollee's child. (Sec. 117) Prescribes requirements for continuity of care during a transition period for participants, beneficiaries, or enrollees undergoing treatment for an ongoing special condition in the event of a termination of: (1) a contract between the plan or an issuer and a health care provider; or (2) a contract between a plan and an issuer that results in the termination of coverage of services of a health care provider. Prescribes a 90-day basic transition period, with specified extensions in the case of scheduled surgery and organ transplantation, pregnancy, or terminal illness. (Sec. 118) Provides that a plan or issuer restricting prescription drug benefits to drugs included in a formulary to: (1) ensure participation of participating physicians in development of the formulary; (2) disclose to providers, and upon request to participants, beneficiaries, and enrollees, the nature of the formulary restrictions; and (3) consistent with the standards for a utilization review program, provide for exceptions from the formulary limitation when a non-formulary alternative is medically indicated. (Sec. 119) Prohibits a plan or issuer from: (1) denying individual participation in an approved clinical trial; (2) denying or limiting or imposing additional conditions on the coverage of routine patient costs for items and services furnished in connection with participation in the trial; and (3) discriminating against the individual on the basis of the enrollee's participation in such trial. Subtitle C: Access to Information - Specifies benefits, access, emergency coverage, prior authorization, grievance and appeals, and other pertinent information which plans and issuers shall provide to participants and beneficiaries at the time of initial coverage, annually, within a reasonable period before or after the date of significant changes, and upon request. Subtitle D: Protecting the Doctor-Patient Relationship - Prohibits any contract or agreement between a plan or issuer and a health care provider from prohibiting or otherwise restricting a health care professional from advising a participant, beneficiary, or enrollee who is the professional's patient about his or her health status or medical care or treatment for his or her condition or disease, regardless of whether benefits for such care or treatment are provided under the plan or coverage, if the professional is acting within the lawful scope of practice. Declares null and void any such contract or agreement provisions. (Sec. 132) Prohibits a plan or issuer from discriminating with respect to participation or indemnification as to any provider acting within the scope of the provider's license or certification, solely on the basis of such license or certification. (Sec. 133) Prohibits any plan or issuer from operating any physician incentive plan that does not meet certain requirements under title XVIII (Medicare) of the Social Security Act. (Sec. 134) Requires a plan or issuer to provide for prompt payment of claims in a manner consistent with Medicare clean claims requirements. (Sec. 135) Sets forth prohibitions and requirements for protection of: (1) participants, beneficiaries, enrollees, and health care providers in their use of a utilization review or grievance process; and (2) health care professionals for good faith disclosure of information to an appropriate agency or body in the interest of quality advocacy. Subtitle E: Definitions - Sets forth definitions. Title II: Application of Quality Care Standards to Group Health Plans and Health Insurance Coverage Under The Public Health Service Act - Amends the Public Health Service Act to require each plan and issuer to comply with the patient protection requirements of this Act. (Sec. 202) Requires each health insurance issuer to comply with such requirements with respect to individual health insurance coverage. Title III: Amendments to the Employee Retirement Income Security Act of 1974 - Amends ERISA to: (1) require each plan and issuer to comply with the patient protection requirements of this Act; and (2) deem a plan in compliance with subtitle A of title I of this Act to be in compliance with ERISA's claim procedure requirement with respect to claims denial. (Sec. 302) Declares that nothing in ERISA shall be construed to invalidate, impair, or supersede any cause of action under State law by a participant or beneficiary (or by his or her estate) to recover damages resulting from personal injury or wrongful death against any person (except employers and other plan sponsors) in connection with the provision of insurance, administrative services, or medical services by that person to or for a group health plan, or that arises out of the arrangement by that person for the provision of insurance, administrative services, or medical services by other persons. Denies plan or issuer liability for punitive damages in any cause of action relating to an externally appealable decision when: (1) the appeal has been completed; and (2) the plan or issuer has complied with the determination of the external appeal entity. Allows an action against an employer or other plan sponsor (or an employee of one or the other acting within the scope of employment) if it is based on the employer's or sponsor's exercise of discretionary authority to decide a claim for covered benefits, and such exercise has resulted in personal injury or wrongful death. Title IV: Application to Group Health Plans Under the Internal Revenue Code of 1986 - Amends the Internal Revenue Code to require a group health plan to comply with this Act. Deems the requirements of this Act to be incorporated into the Internal Revenue Code. Title V: Effective Dates; Coordination in Implementation - Sets forth effective dates for provisions of this Act. (Sec. 502) Requires the Secretaries of Labor, of Health and Human Services, and of the Treasury to ensure coordination in the implementation of this Act. Title VI: Health Care Paperwork Simplification - Establishes the Health Care Panel to Devise a Uniform Explanation of Benefits to devise a single form for use by third-party health care payers for the remittance of claims to providers.
United States · United States Congress · 5 August 1999
Lyme Disease Initiative of 1999 - Directs the Secretaries of Health and Human Services, of Agriculture, of the Interior, and of Defense to: (1) establish specified detection test, improved surveillance and reporting system, and prevention goals to provide for a reduction in the incidence and prevalence of Lyme disease and related tick borne infectious diseases; and (2) establish a five-year plan of activities toward achieving those goals, and carry them out. Establishes the Lyme Disease Taskforce to advise the Secretaries with respect to achieving such goals. Authorizes appropriations.
United States · United States Congress · 2 August 1999
Omnibus Mercury Emissions Reduction Act of 1999 - Amends the Clean Air Act to require the Administrator of the Environmental Protection Agency (EPA) to promulgate regulations to establish standards for mercury and mercury compound emissions applicable to: (1) electric utility steam generating units; (2) coal- and oil-fired commercial and industrial boiler units that have a maximum design heat input capacity of ten mmBtu (millions of British thermal units) per hour or greater; (3) chlor-alkali plants that use the mercury cell production process; and (4) dust from Portland cement plants. Requires such units and plants to have permits no later than two years after this Act's enactment. Prescribes a minimum required emission reduction, such that a unit or plant reduce annual poundage of mercury emitted below its mercury emission baseline by at least 95 percent. Authorizes emission trading among electric utility or coal- and oil-fired units contained at a single site if the aggregate annual reduction from all units is at least 95 percent. Requires the Administrator to authorize methods of control of mercury emissions. Sets forth permit requirements, including requirements for monitoring and analysis, inspection, entry, compliance certification, and reporting. Establishes specific mercury emission baselines for classes of electric utility and coal- and oil-fired boiler units, including those in operation before January 1, 1996, and those beginning operation after this Act's enactment. Requires the regulations to ensure that mercury that is captured or recovered is disposed of in a manner that ensures that: (1) the mercury hazards are not transferred from one environmental medium to another; and (2) there is no release of mercury into the environment. Directs the Administrator to establish a program of long-term research to develop and disseminate information on methods such as separating, solidifying, recycling, and encapsulating mercury-bearing waste so that the mercury does not volatize, migrate to groundwater or surface water, or contaminate the soil. Requires the Administrator to make emission data for each unit and plant available annually to the public. (Sec. 5) Amends the Solid Waste Disposal Act to direct the Administrator to publish a list of mercury-containing items to be separated and removed from the waste streams that feed solid waste management facilities. Requires manufacturers of listed items to label items (or, in the case of button cell batteries, packages) to indicate that a product contains mercury. Requires persons that transfer solid waste that may contain a mercury-containing item listed by the Administrator under this Act to submit plans for: (1) separating and removing listed mercury-containing items from waste streams that feed such facilities; (2) transferring separated waste to a recycling facility or treatment, storage, or disposal facility permitted under hazardous waste management provisions of the Solid Waste Disposal Act; (3) monitoring and reporting on plan compliance; and (4) achieving full compliance with the plan within 18 months of plan approval. Directs the Administrator or a State to develop and enforce plans for facilities without approved plans. Amends the Clean Air Act to direct the Administrator to promulgate regulations prescribing procedures for monitoring and analysis for mercury emissions from solid waste combustion flue gases and determining compliance with such requirements. Requires permits for solid waste incineration units to specify inspection, entry, monitoring, compliance certification, and reporting requirements. Directs the Administrator to require incineration units that exceed the maximum mercury emission rate to install control equipment and techniques that will result, within three years, in an emission rate below the specified maximum. Directs the Administrator to make mercury emission data for each unit available annually to the public. Prohibits, three years after this Act's enactment, the sale of mercury-containing products by manufacturers unless the manufacturer has been granted an exemption by the Administrator. Permits an exemption if the Administrator determines that: (1) the product has an essential use; (2) there is no comparable product that does not contain mercury and that is available in the marketplace at a reasonable cost; and (3) through submitted documentation, the manufacturer has established a program to take back, after consumer use, all products subject to the exemption that are manufactured after the date of approval of the exemption application. Provides for maximum three-year exemptions and for renewals. (Sec. 8) Requires the Administrator to report to Congress on the extent to which the annual poundage of mercury and mercury compound emissions from medical waste incinerators and hazardous waste combustors in the United States has been reduced below specific baselines. (Sec. 10) Directs the Secretary of Defense to report to Congress on the use of mercury and mercury compounds by the Department of Defense. (Sec. 11) Requires the Administrator to report to Congress on the sources and extent of mercury emissions in North America. (Sec. 12) Directs the Administrator to establish: (1) a program to characterize and quantify the potential mercury-related health effects on high-risk populations; and (2) a mercury public awareness and prevention program targeted at populations most at risk from exposure to mercury. Requires the Secretary of Health and Human Services and the Administrator to establish an advisory committee to report on the progress made by the Federal Government, State and local governments, industry, and other regulated entities in complying with the mercury-related amendments to the Clean Air Act made by this Act. Directs the Administrator to submit to Congress a report that characterizes mercury and mercury-compound sedimentation trends in Lake Champlain, the Chesapeake Bay, the Great Lakes, the finger lakes region of upstate New York, Tampa Bay, and other water bodies of concern. Requires the Administrator to evaluate: (1) data collected by EPA and each State concerning mercury contamination of fish; and (2) advisories to warn the public about the consumption of mercury-contaminated fish. Directs the Administrator to: (1) implement any changes necessary to improve the quality and ensure consistency from State to State of Federal and State data collection, reporting, characterization of mercury contamination, and thresholds above which advisories will be issued; and (2) make biennial reports available to the public concerning mercury levels in fish and any consumption advisories that have been issued.
United States · United States Congress · 22 July 1999
Recognizes the moral right of Dina Babbitt to obtain the artwork she created and recognizes her courage in the face of the evils perpetrated by the Nazi command of the Auschwitz-Birkenau death camp, including the atrocities committed by Dr. Josef Mengele. Urges: (1) the President to make all efforts necessary to retrieve and return to her the seven watercolor portraits she painted while suffering a year and a half long internment at the Auschwitz-Birkenau death camp; (2) the State Department to make diplomatic efforts to facilitate the transfer of such watercolors from the Auschwitz-Birkenau state museum to her; (3) the Government of Poland to facilitate the return of such artwork from the Auschwitz-Birkenau state museum to her; and (4) the officials of the Auschwitz-Birkenau state museum to transfer those paintings to her expeditiously.
United States · United States Congress · 14 July 1999
Act to Save America's Forests - Title I: Amendments to Existing Land Management Laws - Amends the Forest and Rangeland Renewable Resources Planning Act of 1974 (National Forest System), the Federal Land Policy and Management Act of 1976 (public lands), the National Wildlife Refuge System Administration Act of 1966 (National Wildlife Refuge System), and Federal law relating to forest management on military lands to: (1) provide for native biodiversity conservation; and (2) restrict and prohibit certain logging practices. Title II: Protection for Ancient Forests, Roadless Areas, Watershed Protection Areas, and Special Areas - Describes special areas as Federal forest land parcels possessing outstanding biological, scenic, recreational, or cultural values, exemplary on a regional or national level, which may not meet the definitions of Ancient Forests, Roadless Areas, or Watershed Protection Areas. Designates specified Special Areas which shall be subject to restrictions on road construction and logging in the following States: (1) Alabama; (2) Alaska; (3) Arizona; (4) Arkansas; (5) California; (6) Colorado; (7) Georgia; (8) Idaho; (9) Illinois; (10) Michigan; (11) Minnesota; (12) Missouri; (13) Montana; (14) New Mexico; (15) North Carolina; (16) Ohio; (17) Oklahoma; (18) Oregon; (19) South Carolina; (20) South Dakota; (21) Tennessee; (22) Texas; (23) Vermont; (24) Virginia; (25) West Virginia; (26) Wisconsin; and (27) Wyoming. Provides for the appointment of a committee of scientists to recommend additional Special Areas. Restricts road construction and logging in Ancient Forests, Special Areas, Roadless Areas on Federal lands, and Watershed Protection Areas.
United States · United States Congress · 13 July 1999
Open Space Preservation Act of 1999 - Amends the Internal Revenue Code to exclude from gross income the gain from the sale or exchange of farmland if there is a covenant prohibiting any use other than as farmland. Excludes from the gross estate the value of farmland if there is a covenant prohibiting any use other than as farmland.
United States · United States Congress · 13 July 1999
Cardiac Arrest Survival Act of 1999 - Amends the Public Health Service Act to direct the Secretary of Health and Human Services to: (1) assist in providing for an improvement in the survival rates of individuals who experience cardiac arrest in Federal buildings by publishing in the Federal Register for public comment recommendations with respect to placing automatic external defibrillators in such buildings; and (2) assist Federal agencies in implementing programs for such placement. Requires the Secretary to determine criteria for: (1) the selection of the Federal public buildings in which defibrillators should be placed; (2) defibrillator maintenance; and (3) the coordination of the use of the defibrillators in public buildings with emergency medical services providers for the geographic areas in which the buildings are located. Provides that any person who provides emergency medical care through the use of a defibrillator, any person who maintained, tested, or provided training in the use of the device, any physician who provided medical oversight of the device, and the person who acquired the device (if specified conditions have been met) is immune from civil liability for any personal injury or wrongful death resulting from the provision of such care, unless the person engaged in gross negligence or willful or wanton misconduct under the applicable circumstances.
United States · United States Congress · 1 July 1999
Authorizes the President to present, on behalf of the Congress, a gold medal to General Wesley Clark in recognition of his exemplary performance as a military leader in coordinating the planning, strategy, and execution of the United States and NATO combat action and his invaluable contributions to the United States and to the successful return to peace in the Balkans as Supreme Allied Commander, Europe, and Commander-in-Chief, United States European Command. Authorizes the Secretary of the Treasury to strike and sell bronze duplicates. Authorizes appropriations.
United States · United States Congress · 1 July 1999
Wartime Violation of Italian American Civil Liberties Act - Directs the Inspector General of the Department of Justice to conduct a comprehensive review of the treatment by the Federal Government of Italian Americans during World War II (between September 1, 1939, and December 31, 1945) and to report to Congress on the findings of such review. Requires the findings to include information regarding: (1) Italian Americans who were taken into custody, interned, ordered to move out of designated areas, or arrested for curfew, contraband, or other violations; (2) Federal Bureau of Investigations raids on Italian Americans homes; (3) restrictions on Italian American fishermen and railroad workers; and (4) civil liberties infringements suffered by Italian Americans during World War II as a result of Executive Order 9066. Expresses the sense of Congress that: (1) the story of the treatment of Italian Americans during World War II needs to be told; (2) Federal agencies, including the Department of Education and the National Endowment for the Humanities, should support projects such as conferences, seminars, and lectures to heighten awareness of this unfortunate chapter in our nation's history, the refurbishment and payment of all expenses associated with the traveling exhibit "Una Storia Segreta," and documentaries allowing this issue to be presented to the American public; (3) an advisory committee should be established to assist in the compilation, research, and dissemination of information on the treatment of Italian Americans; and (4) financial support should be provided for educating the American public through the production of a documentary film suited for public broadcast. Requires the President, on behalf of the Government, to formally acknowledge that these events during World War II represented a fundamental injustice against Italian Americans.
United States · United States Congress · 1 July 1999
Genetic Nondiscrimination in Health Insurance and Employment Act of 1999 - Title I: Prohibition of Health Insurance Discrimination on the Basis of Predictive Genetic Information - Amends the Employee Retirement Income Security Act of 1974 (ERISA) (regarding a group health plan, and a health insurance issuer offering group insurance through a group plan), the Public Health Service Act (PHSA) (regarding such a plan or issuer, and with regard to an issuer offering health insurance in the individual market), the Internal Revenue code (IRC) (regarding a group health plan), and title XVIII (Medicare) of the Social Security Act (SSA) (regarding Medicare supplemental policies) to prohibit, with respect to genetic information: (1) discriminating in individual enrollment; (2) discriminating in group eligibility or group premium or contribution rates; (3) requesting or requiring test performance; and (4) requesting, requiring, collecting, purchasing, or disclosing information, unless authorized by the individual. Allows a plan or issuer: (1) regarding payment for genetic services, to request evidence that the services were performed; and (2) regarding payment for other benefits, to request predictive genetic information in certain circumstances. Allows a court, for violations, to award any appropriate legal or equitable relief, attorney's fees and costs, and expert witness costs. Allows civil monetary penalties. Applies the requirements of this paragraph to plans that have fewer than two participants who are current employees. Amends ERISA and the PHSA to: (1) declare that the provisions of paragraph above do not preempt any provision of State law that protects genetic information confidentiality or privacy, or prohibits genetic discrimination, more completely than ERISA's and the PHSA's group health plan provisions; and (2) apply the requirements of the paragraph above to Medicare supplemental health insurance and similar supplemental coverage, if provided under a separate policy, certificate, or contract of insurance. Amends the IRC to apply the requirements of this title to apply the requirements of this title to any governmental plan. Title II: Prohibition of Employment Discrimination on the Basis of Predictive Genetic Information - Makes it an unlawful employment practice for an employer, employment agency, labor organization, or training program to discriminate because of predictive genetic information, including making it unlawful to request, require, collect, or purchase such information. Allows an employer to request, require, collect, or purchase such information: (1) where used for genetic monitoring of biological effects of workplace toxic substances; or (2) with consent of the employee, if results are received only by the employee (or the employee's family). (Sec. 206) Requires employers possessing such information to treat and maintain the information as part of the employee's confidential medical records. Prohibits disclosure, subject to exception. (Sec. 207) Empowers one or more employees, labor organization members, or training participants to bring an action in Federal or State court for violations. Applies to the Equal Employment Opportunity Commission (EEOC), for enforcement of this title, the powers, remedies, and procedures under specified provisions of the Civil Rights Act of 1964. Allows a court to award any appropriate legal or equitable relief, attorney's fees and costs, and costs of experts. (Sec. 209) Authorizes appropriations to carry out this title.
United States · United States Congress · 1 July 1999
Better America Bonds Act of 1999 - Amends the Internal Revenue Code to allow a limited income tax credit to a holder of a Better America Bond. Requires the proceeds of such bonds to be used for specified purposes, including: (1) the acquisition of land for use as open space, wetlands, public parks, or greenways, and the provision of visitor facilities for land so used; (2) the remediation of land so acquired to enhance water quality; and (3) the environmental assessment and remediation of real property owned by a State or local government.
United States · United States Congress · 30 June 1999
Paycheck Fairness Act - Amends the Fair Labor Standards Act of 1938 (FLSA) to revise remedies for and enforcement of prohibitions against sex discrimination in the payment of wages. (Such FLSA prohibitions are also known as the Equal Pay Act). (Sec. 3) Amends FLSA to provide for enhanced enforcement of equal pay requirements, adding a nonretaliation requirement. Increases penalties for such violations. Provides for the Secretary of Labor to seek additional compensatory or punitive damages in such cases. (Sec. 4) Requires the Equal Employment Opportunity Commission (EEOC) and the Office of Federal Contract Compliance Programs to train EEOC employees and affected individuals and entities on matters involving wage discrimination. (Sec. 5) Directs the Secretary to conduct studies and provide information to employers, labor organizations, and the general public concerning the means available to eliminate pay disparities between men and women, including convening a national summit and carrying out other specified activities. (Sec. 6) Directs the Secretary to: (1) develop guidelines for employer evaluations of job categories based on objective criteria, to be used voluntarily by employers to compare wages for different jobs to determine if pay scales adequately and fairly reflect each job's educational and skill requirements, independence, working conditions, and responsibility, in order to eliminate unfair pay disparities between occupations traditionally dominated by men or women; and (2) establish a program to recognize employers who use such guidelines to ensure that women are paid fairly in comparison to men without lowering men's wages. Authorizes the Secretary to provide technical assistance for employers to carry out such evaluations. (Sec. 7) Establishes the Robert Reich National Award for Pay Equity in the Workplace, which shall be evidenced by a medal. Sets forth criteria for specified types of entities to receive such an award. (Sec. 8) Amends the Civil Rights Act to direct the EEOC to: (1) complete a survey of data currently available to the Government relating to employee pay information for use in the enforcement of Federal laws prohibiting pay discrimination, and identify additional data collections to enhance enforcement of such laws; and (2) based on survey results and consultations with other relevant Federal agencies, issue regulations for the collection of pay information data from employers as described by the sex, race, and national origin of employees. (Sec. 9) Authorizes appropriations.
United States · United States Congress · 29 June 1999
Child Abuse Reform and Enforcement Act of 1999 or CARE Act of 1999 - Title I: Withholding and Redistribution of Certain State Child Protection Funds - Directs the Secretary of Health and Human Services and the Attorney General to reduce by 25 percent certain fiscal year allocations and grant amounts, respectively, to a State that is not in compliance with the requirements of title II of this Act. Requires the Attorney General by grants to redistribute such withheld amounts to States that are in compliance with title II of this Act, to be used for computerization and improvement of data and criminal history files in order to effectuate a statutory mechanism for child sexual abuse protection and sentencing reform. Authorizes appropriations. Title II: Child Sexual Abuse Protection And Sentencing Reform - Includes the following criteria as prerequisites for eligibility for funding under this Act: (1) State study of its laws pertaining to intrafamilial and extrafamilial sexual abuse of children; (2) State examination of disparities in charging and sentencing perpetrators of child sexual abuse; (3) State examination and implementation of legislative actions necessary to equalize charging and sentencing without regard to familial relationship of such perpetrators to the child victim; (4) State compilation and analysis of relevant data; and (5) State promotion of regulations requiring State courts and agencies to compile such data.
United States · United States Congress · 29 June 1999
Study of Antique Firearms (SAF) Act - Directs the Secretary of the Treasury to conduct a study, collect statistics, and report to the congressional judiciary committees on the use of antique firearms in crime.
United States · United States Congress · 24 June 1999
Employment Non-Discrimination Act of 1999 - Prohibits employment discrimination on the basis of sexual orientation by covered entities. Declares that a disparate impact does not establish a prima facie violation of this Act. Prohibits related retaliation and coercion. Declares that this Act does not apply to the provision of employee benefits for the benefit of an employee's domestic partner. Prohibits the Equal Employment Opportunity Commission from: (1) collecting statistics on sexual orientation from covered entities; and (2) compelling covered entities to collect such statistics. Prohibits: (1) quotas and preferential treatment; and (2) an order or consent decree for a violation of this Act that includes a quota or preferential treatment. Declares that this Act does not apply to: (1) religious organizations (except regarding employment in a position the duties of which pertain solely to activities of the organization that generate unrelated business income subject to taxation under specified Internal Revenue Code provisions); (2) the relationship between the United States and members of the armed forces; or (3) laws creating special rights or preferences for veterans. Provides for enforcement. Prohibits the imposition of affirmative action for a violation of this Act. Disallows State immunity. Makes the United States or a State liable for all remedies (except punitive damages, with compensatory damages available to the extent specified in certain existing provisions of law) to the same extent as under specified provisions of the Civil Rights Act of 1964. Allows recovery of attorney's fees. Requires posting notices for employees, applicants, and members.
United States · United States Congress · 24 June 1999
Safety Net Preservation Act of 1999 - Amends title XIX (Medicaid) of the Social Security Act to establish a new prospective payment system for federally-qualified health centers and rural health clinics.
United States · United States Congress · 22 June 1999
History of the House Awareness and Preservation Act - Directs the Librarian of Congress to: (1) prepare a new and complete written history of the U.S. House of Representatives; (2) in preparing the history, consult, commission, or engage the services or participation of eminent historians and Members or former Members of the House; (3) arrange for the printing of the history and the dissemination of excerpts of the history over the Internet; (4) make the history available for sale to the public; and (5) make available, free of charge, a limited number of copies to each Member of the House of Representatives and to the Senate. Sets forth guidelines for the history. Authorizes the Librarian to solicit and accept private funding for the publication, marketing, and public distribution of the history. Directs the Librarian to accept for deposit, preserve, maintain, and make accessible, an oral history of the House as told by its Members and former Members, compiled and updated (on a voluntary or contract basis) by the U.S. Association of Former Members of Congress or other outside organization. Expresses the sense of the Congress that: (1) orientation programs for freshman Members of the House should contain a seminar on the history of the House; and (2) the Speaker of the House should conduct a series of forums on the topic of such history.
United States · United States Congress · 22 June 1999
Expresses the sense of Congress that all Americans should recognize their responsibility to become trained in the life-saving technique of cardiopulmonary resuscitation (CPR) and seek the opportunity to halt the devastation of cardiac arrest. Supports the efforts of the National CPR Task Force in its development of mass CPR training programs in ten States by the end of 1999, and in every State by the end of 2001. Commends the goals and ideas of the National CPR Weekend initiated by the Task Force in order to facilitate awareness of its program and the need for individuals to receive training in administering CPR.
United States · United States Congress · 15 June 1999
Medicare Early Access Act of 1999 - Title I: Access to Medicare Benefits for Individuals 62-to-65 Years of Age - Amends title XVIII (Medicare) of the Social Security Act (SSA) to add a new part D (Purchase of Medicare Benefits by Certain Individuals Age 62-to-65 Years of Age). Makes eligible to enroll in Medicare during a specified period individuals between the ages of 62 and 65 who: (1) are not eligible for coverage under group health plans or Federal health insurance; but (2) would be Medicare-eligible if age 65. Requires prior notification of each individual seeking to enroll of the deferred monthly premium amount for which the individual will be liable upon attaining age 65. (Sec. 101) Directs the Secretary of Health and Human Services to determine rates for: (1) the base monthly premium; (2) the base annual premium for individuals age 62 or older, adjusted appropriately for each premium area; as well as the maximum amount of such premium; and (3) the deferred premium for such individuals. Directs the Secretary to provide for payment and collection of the base monthly premium. Makes the enrollee liable for the deferred monthly premium payment. Requires collection of both premiums in the same manner as for the payment of monthly premiums under Medicare part B (Supplementary Medical Insurance). Creates in the Treasury the Medicare Early Access Trust Fund (Trust Fund) to hold collected premiums. Directs: (1) the Trust Fund's Board of Trustees to report annually to Congress on the need for adjustments in the new program in order to maintain its financial solvency; and (2) the Comptroller General to report periodically to Congress on the adequacy of program financing along with appropriate recommendations to accomplish such end. Requires: (1) individuals enrolled under the new part D program to be treated for Medicare purposes as though they were entitled to benefits under Medicare part A (Hospital Insurance) and enrolled under Medicare part B; and (2) new part D program benefits to be payable under Medicare to such individuals in the same manner as if they were so entitled and enrolled. Provides that the new part D program shall not be treated as Medicare for purposes of the Medicaid program (SSA title XIX), including the provision of Medicare cost-sharing assistance, nor for purposes of COBRA (Consolidated Omnibus Budget Reconciliation Act of 1985) continuation requirements of the Public Health Service Act. Title II: Access to Medicare Benefits for Displaced Workers 55-to-62 Years of Age - Amends SSA title XVIII part D to rename the newly established part D program the Purchase of Medicare Benefits by Certain Individuals Age 55-to-65 Years of Age. Provides for part D coverage for certain displaced workers and spouses between the ages of 55 and 62 under arrangements similar to those in title I. Directs the Secretary to provide for continued enrollment of displaced workers who attain 62 years of age. Title III: COBRA Protection for Early Retirees - Subtitle A: Amendments to the Employee Retirement Income Security Act of 1974 - Amends the Employee Retirement Income Security Act of 1974 (ERISA) to extend specified group health plan insurance continuation coverage under COBRA to qualified retirees and their dependents, in cases of substantial reduction or termination of a retiree group health plan. Sets forth a special rule for certain dependents in case of termination or substantial reduction of retiree health coverage. Permits an increased level of premiums in the case of an individual provided continuation coverage by reason of the qualifying event. Subtitle B: Amendments to the Public Health Service Act - Amends the Public Health Service Act to extend specified group health plan insurance continuation coverage under COBRA to qualified retirees and their dependents, in cases of substantial reduction or termination of a retiree group health plan. Sets forth a special rule for certain dependents in case of termination or substantial reduction of retiree health coverage. Permits an increased level of premiums in the case of an individual provided continuation coverage by reason of the qualifying event. Subtitle C: Amendments to the Internal Revenue Code of 1986 - Amends the Internal Revenue Code to extend specified group health plan insurance continuation coverage under COBRA to qualified retirees and their dependents, in cases of substantial reduction or termination of a retiree group health plan. Sets forth a special rule for certain dependents in case of termination or substantial reduction of retiree health coverage. Permits an increased level of premiums in the case of an individual provided continuation coverage by reason of the qualifying event. Title IV: Financing - Provides that any increase in payments under SSA title XVIII resulting from enactment of this Act shall be offset by reductions in payments under such program pursuant to the anti-fraud and anti-abuse provisions enacted as part of the Medicare Fraud and Reimbursement Reform Act of 1999.
United States · United States Congress · 15 June 1999
Reaffirms the commitment of the United States to the men and women who have honorably served this nation in the armed forces to provide reasonable access to burial in a national cemetery or State veterans cemetery. Calls on the National Cemetery Administration of the Department of Veterans Affairs to commence planning for the construction of new national cemeteries for such purpose.
United States · United States Congress · 10 June 1999
Bear Protection Act of 1999 - Prohibits any person from: (1) importing bear viscera into, or exporting it from, the United States; or (2) selling bear viscera, bartering, offering it for sale or barter, or purchasing, possessing, transporting, delivering, or receiving it in interstate or foreign commerce. Subjects persons who violate such prohibitions to specified penalties. Waives such prohibition for wildlife law enforcement purposes where a valid permit has been issued. Requires the Secretary of the Interior and the Secretary of State to discuss issues involving such trade with the appropriate representatives of countries that are the leading importers, exporters, or consumers of such products. Requires the Secretary of the Interior to report to Congress on the progress of efforts to end illegal trade in bear viscera.
United States · United States Congress · 10 June 1999
Equity in Prescription Insurance and Contraceptive Coverage Act of 1999 - Amends the Employee Retirement Income Security Act of 1974 and the Public Health Service Act to prohibit a group health plan, and a health insurance issuer providing group coverage, from: (1) excluding or restricting benefits for prescription contraceptive drugs, devices, and outpatient services if the plan provides benefits for other outpatient prescription drugs, devices, or outpatient services; (2) denying eligibility based on use or potential use of such items or services; (3) providing monetary payments or rebates to a covered individual to encourage acceptance of less than the minimum protections available; (4) penalizing, reducing, or limiting a professional's reimbursement because the professional prescribed such drugs or devices or provided such services; or (5) providing incentives to a professional to induce the professional to withhold drugs, devices, or services. Amends the Public Health Service Act to apply those prohibitions to coverage offered in the individual market.