[Congressional Bills 119th Congress]
[From the U.S. Government Publishing Office]
[H.R. 1768 Introduced in House (IH)]

<DOC>






119th CONGRESS
  1st Session
                                H. R. 1768

   To provide for lower costs for everyday Americans, and for other 
                               purposes.


_______________________________________________________________________


                    IN THE HOUSE OF REPRESENTATIVES

                             March 3, 2025

 Mr. Pallone introduced the following bill; which was referred to the 
Committee on Energy and Commerce, and in addition to the Committees on 
Ways and Means, the Budget, the Judiciary, and Education and Workforce, 
for a period to be subsequently determined by the Speaker, in each case 
for consideration of such provisions as fall within the jurisdiction of 
                        the committee concerned

_______________________________________________________________________

                                 A BILL


 
   To provide for lower costs for everyday Americans, and for other 
                               purposes.

    Be it enacted by the Senate and House of Representatives of the 
United States of America in Congress assembled,

SECTION 1. SHORT TITLE.

    This Act may be cited as the ``Lower Costs for Everyday Americans 
Act''.

SEC. 2. TABLE OF CONTENTS.

    The table of contents for this Act is as follows:

Sec. 1. Short title.
Sec. 2. Table of contents.
    DIVISION A--RECYCLING, WATER, AND ENVIRONMENT RELATED PROVISIONS

Sec. 101. Recycling and composting accountability.
Sec. 102. Recycling Infrastructure and Accessibility Program.
Sec. 103. Drinking water infrastructure risk and resilience.
Sec. 104. Reauthorization of Diesel Emissions Reduction Act.
Sec. 105. Nationwide Consumer and Fuel Retailer Choice Act.
                          DIVISION B--COMMERCE

                  TITLE I--YOUTH POISONING PREVENTION

Sec. 101. Short title.
Sec. 102. Banning of products containing a high concentration of sodium 
                            nitrite.
    TITLE II--CONSUMER PRODUCT SAFETY STANDARD FOR CERTAIN BATTERIES

Sec. 201. Consumer product safety standard for certain batteries.
      TITLE III--FOREIGN ADVERSARY COMMUNICATIONS TRANSPARENCY ACT

Sec. 301. Short title.
Sec. 302. List of entities holding FCC authorizations, licenses, or 
                            other grants of authority and having 
                            certain foreign ownership.
              TITLE IV--PROMOTING RESILIENT SUPPLY CHAINS

Sec. 401. Short title.
Sec. 402. Additional responsibilities of Assistant Secretary of 
                            Commerce for Industry and Analysis.
Sec. 403. Critical supply chain resilience working group.
Sec. 404. Department of Commerce capability assessment.
Sec. 405. No additional funds.
Sec. 406. Sunset.
Sec. 407. Definitions.
                TITLE V--DEPLOYING AMERICAN BLOCKCHAINS

Sec. 501. Short title.
Sec. 502. Definitions.
Sec. 503. Department of Commerce leadership on blockchain.
Sec. 504. Reports to Congress.
                     TITLE VI--FUTURE NETWORKS ACT

Sec. 601. Short title.
Sec. 602. 6G task force.
Sec. 603. Termination of Task Force.
                      TITLE VII--SECURE SPACE ACT

Sec. 701. Short title.
Sec. 702. Prohibition on grant of certain satellite licenses, United 
                            States market access, or earth station 
                            authorizations.
                      TITLE VIII--TAKE IT DOWN ACT

Sec. 801. Short title.
Sec. 802. Criminal prohibition on intentional disclosure of 
                            nonconsensual intimate visual depictions.
Sec. 803. Notice and removal of nonconsensual intimate visual 
                            depictions.
Sec. 804. Definitions.
Sec. 805. Severability.
                TITLE IX--RURAL BROADBAND PROTECTION ACT

Sec. 901. Short title.
Sec. 902. Vetting process for prospective high-cost universal service 
                            fund applicants.
                    TITLE X--AMERICAN MUSIC TOURISM

Sec. 1001. Short title.
Sec. 1002. Responsibilities of the Assistant Secretary of Commerce for 
                            Travel and Tourism.
           TITLE XI--INFORMING CONSUMERS ABOUT SMART DEVICES

Sec. 1101. Short title.
Sec. 1102. Required disclosure of a camera or recording capability in 
                            certain internet-connected devices.
Sec. 1103. Enforcement by the Federal Trade Commission.
Sec. 1104. Definition of covered device.
Sec. 1105. Effective date.
          TITLE XII--SECURING SEMICONDUCTOR SUPPLY CHAINS ACT

Sec. 1201. Short title.
Sec. 1202. SelectUSA defined.
Sec. 1203. Findings.
Sec. 1204. Coordination with State-level economic development 
                            organizations.
Sec. 1205. Report on increasing foreign direct investment in 
                            semiconductor-related manufacturing and 
                            production.
Sec. 1206. No additional funds.
                TITLE XIII--HOTEL FEES TRANSPARENCY ACT

Sec. 1301. Short title.
Sec. 1302. Prohibition on unfair and deceptive advertising of hotel 
                            rooms and other short-term rental prices.
      TITLE XIV--TRANSPARENCY IN CHARGES FOR KEY EVENTS TICKETING

Sec. 1401. Short title.
Sec. 1402. All inclusive ticket price disclosure.
Sec. 1403. Speculative ticketing ban.
Sec. 1404. Disclosures.
Sec. 1405. Refund requirements.
Sec. 1406. Report by the Federal Trade Commission on BOTS Act of 2016 
                            enforcement.
Sec. 1407. Enforcement.
Sec. 1408. Definitions.
                         TITLE XV--ROUTERS ACT

Sec. 1501. Short title.
Sec. 1502. Study of national security risks posed by certain routers 
                            and modems.
                    TITLE XVI--NTIA REAUTHORIZATION

Sec. 1601. Short title.
Sec. 1602. Definitions.
                      Subtitle A--Reauthorization

Sec. 1611. Reauthorization of the National Telecommunications and 
                            Information Administration Organization 
                            Act.
Sec. 1612. NTIA Consolidated Reporting Act.
               Subtitle B--Office of Spectrum Management

Sec. 1621. Office of Spectrum Management.
              Subtitle C--Office of International Affairs

Sec. 1631. Office of International Affairs.
                           DIVISION C--HEALTH

                           TITLE I--MEDICAID

Sec. 101. Streamlined enrollment process for eligible out-of-state 
                            providers under Medicaid and CHIP.
Sec. 102. Making certain adjustments to coverage of home or community-
                            based services under Medicaid.
Sec. 103. Removing certain age restrictions on Medicaid eligibility for 
                            working adults with disabilities.
Sec. 104. Medicaid State plan requirement for determining residency and 
                            coverage for military families.
Sec. 105. Ensuring the reliability of address information provided 
                            under the Medicaid program.
Sec. 106. Codifying certain Medicaid provider screening requirements 
                            related to deceased providers.
Sec. 107. Modifying certain State requirements for ensuring deceased 
                            individuals do not remain enrolled.
Sec. 108. One-year delay of Medicaid and CHIP requirements for health 
                            screenings, referrals, and case management 
                            services for eligible juveniles in public 
                            institutions; State interim work plans.
Sec. 109. State studies and HHS report on costs of providing maternity, 
                            labor, and delivery services.
Sec. 110. Modifying certain disproportionate share hospital allotments.
Sec. 111. Modifying certain limitations on disproportionate share 
                            hospital payment adjustments under the 
                            Medicaid program.
Sec. 112. Ensuring accurate payments to pharmacies under Medicaid.
Sec. 113. Preventing the use of abusive spread pricing in Medicaid.
                           TITLE II--MEDICARE

Sec. 201. Extension of increased inpatient hospital payment adjustment 
                            for certain low-volume hospitals.
Sec. 202. Extension of the Medicare-dependent hospital (MDH) program.
Sec. 203. Extension of add-on payments for ambulance services.
Sec. 204. Extending incentive payments for participation in eligible 
                            alternative payment models.
Sec. 205. Temporary payment increase under the Medicare physician fee 
                            schedule to account for exceptional 
                            circumstances.
Sec. 206. Extension of funding for quality measure endorsement, input, 
                            and selection.
Sec. 207. Extension of funding outreach and assistance for low-income 
                            programs.
Sec. 208. Extension of the work geographic index floor.
Sec. 209. Extension of certain telehealth flexibilities.
Sec. 210. Requiring modifier for use of telehealth to conduct face-to-
                            face encounter prior to recertification of 
                            eligibility for hospice care.
Sec. 211. Extending acute hospital care at home waiver flexibilities.
Sec. 212. Enhancing certain program integrity requirements for DME 
                            under Medicare.
Sec. 213. Guidance on furnishing services via telehealth to individuals 
                            with limited English proficiency.
Sec. 214. In-home cardiopulmonary rehabilitation flexibilities.
Sec. 215. Inclusion of virtual diabetes prevention program suppliers in 
                            MDPP Expanded Model.
Sec. 216. Medication-induced movement disorder outreach and education.
Sec. 217. Report on wearable medical devices.
Sec. 218. Extension of temporary inclusion of authorized oral antiviral 
                            drugs as covered part D drugs.
Sec. 219. Extension of adjustment to calculation of hospice cap amount.
Sec. 220. Multiyear contracting authority for MedPAC and MACPAC.
Sec. 221. Contracting parity for MedPAC and MACPAC.
Sec. 222. Adjustments to Medicare part D cost-sharing reductions for 
                            low-income individuals.
Sec. 223. Requiring Enhanced and Accurate Lists of (REAL) Health 
                            Providers Act.
Sec. 224. Medicare coverage of multi-cancer early detection screening 
                            tests.
Sec. 225. Medicare coverage of external infusion pumps and non-self-
                            administrable home infusion drugs.
Sec. 226. Assuring pharmacy access and choice for Medicare 
                            beneficiaries.
Sec. 227. Modernizing and Ensuring PBM Accountability.
Sec. 228. Requiring a separate identification number and an attestation 
                            for each off-campus outpatient department 
                            of a provider.
Sec. 229. Medicare sequestration.
                        TITLE III--OTHER MATTERS

Sec. 301. Sexual risk avoidance education extension.
Sec. 302. Personal responsibility education extension.
Sec. 303. Extension of funding for family-to-family health information 
                            centers.
                   TITLE IV--PUBLIC HEALTH EXTENDERS

                         Subtitle A--Extensions

Sec. 401. Extension for community health centers, National Health 
                            Service Corps, and teaching health centers 
                            that operate GME programs.
Sec. 402. Extension of special diabetes programs.
             Subtitle B--World Trade Center Health Program

Sec. 411. 9/11 responder and survivor health funding corrections.
                  TITLE V--SUPPORT ACT REAUTHORIZATION

Sec. 501. Short title.
                         Subtitle A--Prevention

Sec. 511. Prenatal and postnatal health.
Sec. 512. Monitoring and education regarding infections associated with 
                            illicit drug use and other risk factors.
Sec. 513. Preventing overdoses of controlled substances.
Sec. 514. Support for individuals and families impacted by fetal 
                            alcohol spectrum disorder.
Sec. 515. Promoting state choice in PDMP systems.
Sec. 516. First responder training program.
Sec. 517. Donald J. Cohen National Child Traumatic Stress Initiative.
Sec. 518. Protecting suicide prevention lifeline from cybersecurity 
                            incidents.
Sec. 519. Bruce's law.
Sec. 520. Guidance on at-home drug disposal systems.
Sec. 521. Assessment of opioid drugs and actions.
Sec. 522. Grant program for State and Tribal response to opioid use 
                            disorders.
                         Subtitle B--Treatment

Sec. 531. Residential treatment program for pregnant and postpartum 
                            women.
Sec. 532. Improving access to addiction medicine providers.
Sec. 533. Mental and behavioral health education and training grants.
Sec. 534. Loan repayment program for substance use disorder treatment 
                            workforce.
Sec. 535. Development and dissemination of model training programs for 
                            substance use disorder patient records.
Sec. 536. Task force on best practices for trauma-informed 
                            identification, referral, and support.
Sec. 537. Grants to enhance access to substance use disorder treatment.
Sec. 538. State guidance related to individuals with serious mental 
                            illness and children with serious emotional 
                            disturbance.
Sec. 539. Reviewing the scheduling of approved products containing a 
                            combination of buprenorphine and naloxone.
                          Subtitle C--Recovery

Sec. 541. Building communities of recovery.
Sec. 542. Peer support technical assistance center.
Sec. 543. Comprehensive opioid recovery centers.
Sec. 544. Youth prevention and recovery.
Sec. 545. CAREER Act.
Sec. 546. Addressing economic and workforce impacts of the opioid 
                            crisis.
                   Subtitle D--Miscellaneous Matters

Sec. 551. Delivery of a controlled substance by a pharmacy to a 
                            prescribing practitioner.
Sec. 552. Technical correction on controlled substances dispensing.
Sec. 553. Required training for prescribers of controlled substances.
Sec. 554. Extension of temporary order for fentanyl-related substances.
      TITLE VI--PANDEMIC AND ALL-HAZARDS PREPAREDNESS AND RESPONSE

Sec. 601. Short title.
           Subtitle A--State and Local Readiness and Response

Sec. 611. Temporary reassignment of State and local personnel during a 
                            public health emergency.
Sec. 612. Public Health Emergency Preparedness program.
Sec. 613. Hospital Preparedness Program.
Sec. 614. Facilities and capacities of the Centers for Disease Control 
                            and Prevention to combat public health 
                            security threats.
Sec. 615. Pilot program to support State medical stockpiles.
Sec. 616. Enhancing domestic wastewater surveillance for pathogen 
                            detection.
Sec. 617. Reauthorization of Mosquito Abatement for Safety and Health 
                            program.
             Subtitle B--Federal Planning and Coordination

Sec. 621. All-Hazards Emergency Preparedness and Response.
Sec. 622. National Health Security Strategy.
Sec. 623. Improving development and distribution of diagnostic tests.
Sec. 624. Combating antimicrobial resistance.
Sec. 625. Strategic National Stockpile and material threats.
Sec. 626. Medical countermeasures for viral threats with pandemic 
                            potential.
Sec. 627. Public Health Emergency Medical Countermeasures Enterprise.
Sec. 628. Fellowship and training programs.
Sec. 629. Regional biocontainment research laboratories.
Sec. 629A. Limitation related to countries of concern conducting 
                            certain research.
          Subtitle C--Addressing the Needs of All Individuals

Sec. 631. Improving access to certain programs.
Sec. 632. Supporting at-risk individuals during emergency responses.
Sec. 633. National advisory committees.
Sec. 634. National Academies study on prizes.
                Subtitle D--Additional Reauthorizations

Sec. 641. Medical countermeasure priority review voucher.
Sec. 642. Epidemic Intelligence Service.
Sec. 643. Monitoring and distribution of certain medical 
                            countermeasures.
Sec. 644. Regional health care emergency preparedness and response 
                            systems.
Sec. 645. Emergency system for advance registration of volunteer health 
                            professionals.
Sec. 646. Ensuring collaboration and coordination in medical 
                            countermeasure development.
Sec. 647. Military and civilian partnership for trauma readiness.
Sec. 648. National Disaster Medical System.
Sec. 649. Volunteer Medical Reserve Corps.
Sec. 650. Epidemiology-laboratory capacity.
                   TITLE VII--PUBLIC HEALTH PROGRAMS

Sec. 701. Action for dental health.
Sec. 702. PREEMIE.
Sec. 703. Preventing maternal deaths.
Sec. 704. Sickle cell disease prevention and treatment.
Sec. 705. Traumatic brain injuries.
Sec. 706. Lifespan respite care.
Sec. 707. Dr. Lorna Breen health care provider protection.
Sec. 708. Conforming amendment to Internal Revenue Code of 1986.
Sec. 709. SCREENS for Cancer.
Sec. 710. DeOndra Dixon INCLUDE Project.
Sec. 711. IMPROVE Initiative.
Sec. 712. Organ Procurement and Transplantation Network.
Sec. 713. Honor Our Living Donors.
Sec. 714. Program for pediatric studies of drugs.
                TITLE VIII--FOOD AND DRUG ADMINISTRATION

                     Subtitle A--Give Kids a Chance

Sec. 801. Research into pediatric uses of drugs; additional authorities 
                            of Food and Drug Administration regarding 
                            molecularly targeted cancer drugs.
Sec. 802. Ensuring completion of pediatric study requirements.
Sec. 803. FDA report on PREA enforcement.
Sec. 804. Extension of authority to issue priority review vouchers to 
                            encourage treatments for rare pediatric 
                            diseases.
Sec. 805. Limitations on exclusive approval or licensure of orphan 
                            drugs.
   Subtitle B--United States-Abraham Accords Cooperation and Security

Sec. 811. Establishment of Abraham Accords Office within Food and Drug 
                            Administration.
               TITLE IX--LOWERING PRESCRIPTION DRUG COSTS

Sec. 901. Oversight of pharmacy benefit management services.
Sec. 902. Full rebate pass through to plan; exception for innocent plan 
                            fiduciaries.
Sec. 903. Increasing transparency in generic drug applications.
Sec. 904. Title 35 amendments.
                         TITLE X--MISCELLANEOUS

Sec. 1001. Two-year extension of safe harbor for absence of deductible 
                            for telehealth.

    DIVISION A--RECYCLING, WATER, AND ENVIRONMENT RELATED PROVISIONS

SEC. 101. RECYCLING AND COMPOSTING ACCOUNTABILITY.

    (a) Short Title.--This section may be cited as the ``Recycling and 
Composting Accountability Act''.
    (b) Definitions.--
            (1) In general.--In this section:
                    (A) Administrator.--The term ``Administrator'' 
                means the Administrator of the Environmental Protection 
                Agency.
                    (B) Compost.--The term ``compost'' means a product 
                that--
                            (i) is manufactured through the controlled 
                        aerobic, biological decomposition of 
                        biodegradable materials;
                            (ii) has been subjected to medium and high 
                        temperature organisms, which--
                                    (I) significantly reduce the 
                                viability of pathogens and weed seeds; 
                                and
                                    (II) stabilize carbon in the 
                                product such that the product is 
                                beneficial to plant growth; and
                            (iii) is typically used as a soil 
                        amendment, but may also contribute plant 
                        nutrients.
                    (C) Compostable material.--The term ``compostable 
                material'' means material that is a feedstock for 
                creating compost, including--
                            (i) wood;
                            (ii) agricultural crops;
                            (iii) paper, such as cardboard and other 
                        paper products;
                            (iv) certified compostable products 
                        associated with organic waste;
                            (v) other organic plant material;
                            (vi) organic waste, including food waste 
                        and yard waste; and
                            (vii) such other material that is composed 
                        of biomass that can be continually replenished 
                        or renewed, as determined by the Administrator.
                    (D) Indian tribe.--The term ``Indian Tribe'' has 
                the meaning given the term in section 4 of the Indian 
                Self-Determination and Education Assistance Act (25 
                U.S.C. 5304).
                    (E) Recyclable material.--The term ``recyclable 
                material'' means a material that is obsolete, 
                previously used, off-specification, surplus, or 
                incidentally produced for processing into a 
                specification-grade commodity for which a reuse market 
                currently exists or is being developed.
                    (F) Recycling.--The term ``recycling'' means the 
                series of activities--
                            (i) during which recyclable materials are 
                        processed into specification-grade commodities 
                        and consumed as raw-material feedstock, in lieu 
                        of virgin materials, in the manufacturing of 
                        new products;
                            (ii) that may, with regard to recyclable 
                        materials and prior to the activities described 
                        in clause (i), include sorting, collection, 
                        processing, and brokering; and
                            (iii) that result, subsequent to processing 
                        described in clause (i), in consumption by a 
                        materials manufacturer, including for the 
                        manufacturing of new products.
                    (G) State.--The term ``State'' has the meaning 
                given the term in section 1004 of the Solid Waste 
                Disposal Act (42 U.S.C. 6903).
            (2) Definition of processing.--In subparagraphs (E) and (F) 
        of paragraph (1), the term ``processing'' means any mechanical, 
        manual, or other method that--
                    (A) transforms a recyclable material into a 
                specification-grade commodity; and
                    (B) may occur in multiple steps, with different 
                phases, including sorting, occurring at different 
                locations.
    (c) Reports on Composting and Recycling Infrastructure 
Capabilities.--
            (1) In general.--Subtitle D of the Solid Waste Disposal Act 
        (42 U.S.C. 6941 et seq.) is amended by adding at the end the 
        following:

``SEC. 4011. REPORTS ON COMPOSTING AND RECYCLING INFRASTRUCTURE 
              CAPABILITIES.

    ``(a) Definitions.--In this section:
            ``(1) Recycling and composting accountability act terms.--
        The terms `compost', `compostable material', `recyclable 
        material', and `recycling' have the meanings given the terms in 
        subsection (b) of the Recycling and Composting Accountability 
        Act.
            ``(2) Composting facility.--The term `composting facility' 
        means a location, structure, or device that transforms 
        compostable materials into compost.
            ``(3) Indian tribe.--The term `Indian Tribe' has the 
        meaning given the term in section 4 of the Indian Self-
        Determination and Education Assistance Act (25 U.S.C. 5304).
            ``(4) Materials recovery facility.--
                    ``(A) In general.--The term `materials recovery 
                facility' means a dedicated facility where primarily 
                residential recyclable materials, which are diverted 
                from disposal by the generator and collected separately 
                from municipal solid waste, are mechanically or 
                manually sorted into commodities for further processing 
                into specification-grade commodities for sale to end 
                users.
                    ``(B) Exclusion.--The term `materials recovery 
                facility' does not include a solid waste management 
                facility that may process municipal solid waste to 
                remove recyclable materials.
                    ``(C) Definition of processing.--For purposes of 
                this paragraph, the term `processing' has the meaning 
                given the term in subsection (b)(2) of the Recycling 
                and Composting Accountability Act.
    ``(b) Report.--
            ``(1) In general.--The Administrator shall request 
        information and data from, collaborate with, or contract with, 
        as necessary and appropriate, States, units of local 
        government, and Indian Tribes, for the provision, preparation, 
        and publication of a report, or to expand work under the 
        National Recycling Strategy to include information and data, on 
        compostable materials and efforts to reduce contamination rates 
        for recycling, including--
                    ``(A) an evaluation of existing Federal, State, and 
                local laws that may present barriers to implementation 
                of composting strategies;
                    ``(B) a description and evaluation of composting 
                infrastructure and programs within States, units of 
                local government, and Indian Tribes;
                    ``(C) an estimate of the costs and approximate land 
                needed to expand composting programs; and
                    ``(D) a review of the practices of manufacturers 
                and companies that are moving to using compostable 
                packaging and food service ware for the purpose of 
                making the composting process the end-of-life use of 
                those products.
            ``(2) Submission.--Not later than 2 years after the date of 
        enactment of this section, the Administrator shall submit to 
        Congress the report prepared under paragraph (1).
    ``(c) Inventory of Materials Recovery Facilities.--Not later than 3 
years after the date of enactment of this section, and every 4 years 
thereafter, the Administrator, in consultation with relevant Federal 
agencies and States, units of local government, and Indian Tribes, 
shall--
            ``(1) prepare an inventory or estimate of materials 
        recovery facilities in the United States, including--
                    ``(A) the number of materials recovery facilities 
                in each State; and
                    ``(B) a general description of the materials that 
                each of those materials recovery facilities can 
                process, including--
                            ``(i) in the case of plastic, a description 
                        of--
                                    ``(I) the types of accepted resin, 
                                if applicable; and
                                    ``(II) the packaging or product 
                                format, such as a jug, a carton, or 
                                film;
                            ``(ii) food packaging and service ware, 
                        such as a bottle, cutlery, or a cup;
                            ``(iii) paper;
                            ``(iv) aluminum, such as an aluminum 
                        beverage can, food can, aerosol can, or foil;
                            ``(v) steel, such as a steel food or 
                        aerosol can;
                            ``(vi) other scrap metal;
                            ``(vii) glass; or
                            ``(viii) any other material not described 
                        in any of clauses (i) through (vii) that a 
                        materials recovery facility processes; and
            ``(2) submit to Congress the inventory or estimate prepared 
        under paragraph (1).
    ``(d) Information on Recycling and Composting Systems.--The 
Administrator shall, as necessary and appropriate, collaborate or 
contract with States, units of local government, and Indian Tribes to 
estimate, with respect to the United States--
            ``(1) the number and types of recycling and composting 
        programs;
            ``(2) the types and forms of materials accepted by 
        recycling or composting programs;
            ``(3) the number of individuals--
                    ``(A) with access to recycling and composting 
                services to at least the extent of access to disposal 
                services; and
                    ``(B) who use, on a percentage basis, the recycling 
                and composting services described in subparagraph (A);
            ``(4) the number of individuals with barriers to accessing 
        recycling and composting services similar to their access to 
        disposal services and the types of those barriers experienced;
            ``(5) the inbound contamination and capture rates of 
        recycling and composting programs;
            ``(6) if applicable, other available recycling or 
        composting programs; and
            ``(7) the average costs and benefits to States, units of 
        local government, and Indian Tribes of recycling and composting 
        programs.
    ``(e) Recycling Reporting Rates.--
            ``(1) Collection of data; development of rates.--The 
        Administrator may use amounts made available under subsection 
        (f) of the Recycling and Composting Accountability Act--
                    ``(A) to biannually collect, in collaboration with 
                States, to the extent practicable, information supplied 
                on a voluntary basis to develop the estimated rates 
                described in subparagraphs (B) and (C);
                    ``(B) to develop a standardized estimated rate of 
                recyclable materials in States that provide information 
                under subparagraph (A) that have been successfully 
                diverted from the waste stream and brought to a 
                materials recovery facility or composting facility; and
                    ``(C) to develop an estimated national recycling 
                rate based on the information described in 
                subparagraphs (A) and (B).
            ``(2) Use.--Using amounts made available under subsection 
        (f) of the Recycling and Composting Accountability Act, the 
        Administrator may use the information collected and rates 
        developed under paragraph (1) to provide requesting States, 
        units of local government, and Indian Tribes data and technical 
        assistance--
                    ``(A) to reduce the overall waste produced by the 
                States, units of local government, and Indian Tribes;
                    ``(B) to assist the States, units of local 
                government, and Indian Tribes in understanding the 
                nuances of the information collected relating to 
                diversion activities; and
                    ``(C) to increase recycling and composting rates of 
                the States, units of local government, and Indian 
                Tribes.
    ``(f) Report on End Markets.--The Administrator, in collaboration 
or contract with, as necessary and appropriate, relevant Federal 
agencies, States, units of local government, or Indian Tribes, shall--
            ``(1) provide an update to the report submitted under 
        section 306 of the Save Our Seas 2.0 Act (Public Law 116-224; 
        134 Stat. 1096) to include an addendum on the end-market sale 
        of all recyclable materials from materials recovery facilities 
        that process recyclable materials, including, to the extent 
        practicable--
                    ``(A) the total, in dollars per ton, domestic sales 
                of bales of recyclable materials; and
                    ``(B) the total, in dollars per ton, international 
                sales of bales of recyclable materials;
            ``(2) prepare a report on the end-market sale of compost 
        from, to the extent practicable, compostable materials, 
        including the total, in dollars per ton, of domestic sales of 
        compostable materials; and
            ``(3) not later than 3 years after the date of enactment of 
        this section, submit to Congress the update to the report 
        prepared under paragraph (1) and the report prepared under 
        paragraph (2).
    ``(g) Privileged or Confidential Information.--
            ``(1) In general.--Information collected under subsection 
        (e)(1) or paragraph (1) or (2) of subsection (f) shall not 
        include any privileged or confidential information described in 
        section 552(b)(4) of title 5, United States Code.
            ``(2) Nondisclosure.--Information collected to carry out 
        this section shall not be made public if the information meets 
        the requirements of section 552(b) of title 5, United States 
        Code.''.
            (2) Clerical amendment.--The table of contents in section 
        1001 of the Solid Waste Disposal Act (Public Law 89-272; 90 
        Stat. 2795; 98 Stat. 3268) is amended by inserting after the 
        item relating to section 4010 the following:

``Sec. 4011. Report on composting and recycling infrastructure 
                            capabilities.''.
    (d) Federal Agency Activities Related to Recycling.--Not later than 
2 years after the date of enactment of this Act, and every 2 years 
thereafter until 2033, the Comptroller General of the United States 
shall make publicly available a report--
            (1) detailing or, to the extent practicable, providing an 
        estimate of--
                    (A) the total annual recycling and composting rates 
                reported by all Federal agencies; and
                    (B) the total annual percentage of products 
                containing recyclable material, compostable material, 
                or recovered materials purchased by all Federal 
                agencies, including--
                            (i) the total quantity of procured products 
                        containing recyclable material or recovered 
                        materials listed in the comprehensive 
                        procurement guidelines published under section 
                        6002(e) of the Solid Waste Disposal Act (42 
                        U.S.C. 6962(e)); and
                            (ii) the total quantity of compostable 
                        material purchased by all Federal agencies;
            (2) identifying the activities of each Federal agency that 
        promote recycling or composting; and
            (3) identifying activities that Federal agencies could 
        carry out to further promote recycling or composting.
    (e) Study on the Diversion of Recyclable Materials From a Circular 
Market.--
            (1) In general.--Not later than 1 year after the date of 
        enactment of this Act, the Administrator shall develop a metric 
        for determining the proportion of recyclable materials in 
        commercial and municipal waste streams that are being diverted 
        from a circular market.
            (2) Study; report.--Not later than 1 year after the 
        development of a metric under paragraph (1), the Administrator 
        shall conduct a study of, and submit to Congress a report on, 
        the proportion of recyclable materials in commercial and 
        municipal waste streams that, during each of the 10 calendar 
        years preceding the year of submission of the report, were 
        diverted from a circular market.
            (3) Data.--The report under paragraph (2) shall provide 
        data on specific recyclable materials, including aluminum, 
        plastics, paper and paperboard, textiles, and glass, that were 
        prevented from remaining in a circular market through disposal 
        or elimination, and to what use those specific recyclable 
        materials were lost.
            (4) Evaluation.--The report under paragraph (2) shall 
        include an evaluation of whether the establishment or 
        improvement of recycling programs would--
                    (A) improve recycling rates;
                    (B) reduce the quantity of recyclable materials 
                being unutilized in a circular market; and
                    (C) affect prices paid by consumers for products 
                using materials recycled in the circular market.
    (f) Authorization of Appropriations.--There is authorized to be 
appropriated to the Administrator to carry out this section and the 
amendments made by this section $4,000,000 for each of fiscal years 
2025 through 2029.
    (g) Administration.--
            (1) Unfunded mandates.--The Administrator or the Secretary 
        of Commerce may not exercise any authority under this section 
        or any amendment made by this section if exercising that 
        authority would require a State, a unit of local government, or 
        an Indian Tribe to carry out a mandate for which funding is not 
        available.
            (2) Nondisclosure.--Any information collected to carry out 
        this section shall not be made public if the information meets 
        the requirements of section 552(b) of title 5, United States 
        Code.

SEC. 102. RECYCLING INFRASTRUCTURE AND ACCESSIBILITY PROGRAM.

    (a) Definitions.--In this section:
            (1) Administrator.--The term ``Administrator'' means the 
        Administrator of the Environmental Protection Agency.
            (2) Curbside recycling.--The term ``curbside recycling'' 
        means the process by which residential recyclable materials are 
        picked up curbside.
            (3) Eligible entity.--The term ``eligible entity'' means--
                    (A) a State (as defined in section 1004 of the 
                Solid Waste Disposal Act (42 U.S.C. 6903));
                    (B) a unit of local government;
                    (C) an Indian Tribe; and
                    (D) a public-private partnership.
            (4) Indian tribe.--The term ``Indian Tribe'' has the 
        meaning given the term in section 4 of the Indian Self-
        Determination and Education Assistance Act (25 U.S.C. 5304).
            (5) Materials recovery facility.--
                    (A) In general.--The term ``materials recovery 
                facility'' means a recycling facility where primarily 
                residential recyclables, which are diverted from 
                disposal by a generator and collected separately from 
                municipal solid waste, are mechanically or manually 
                sorted into commodities for further processing into 
                specification-grade commodities for sale to end users.
                    (B) Exclusion.--The term ``materials recovery 
                facility'' does not include a solid waste management 
                facility that may process municipal solid waste to 
                remove recyclable materials.
            (6) Pilot grant program.--The term ``pilot grant program'' 
        means the Recycling Infrastructure and Accessibility Program 
        established under subsection (b).
            (7) Recyclable material.--The term ``recyclable material'' 
        means obsolete, previously used, off-specification, surplus, or 
        incidentally produced material for processing into a 
        specification-grade commodity for which a market exists.
            (8) Transfer station.--The term ``transfer station'' means 
        a facility that--
                    (A) receives and consolidates recyclable material 
                from curbside recycling or drop-off facilities; and
                    (B) loads the recyclable material onto tractor 
                trailers, railcars, or barges for transport to a 
                distant materials recovery facility or another 
                recycling-related facility.
            (9) Underserved community.--The term ``underserved 
        community'' means a community, including an unincorporated 
        area, without access to full recycling services because--
                    (A) transportation, distance, or other reasons 
                render utilization of available processing capacity at 
                an existing materials recovery facility cost 
                prohibitive; or
                    (B) the processing capacity of an existing 
                materials recovery facility is insufficient to manage 
                the volume of recyclable materials produced by that 
                community.
    (b) Establishment.--Not later than 18 months after the date of 
enactment of this Act, the Administrator shall establish a pilot grant 
program, to be known as the ``Recycling Infrastructure and 
Accessibility Program'', to award grants, on a competitive basis, to 
eligible entities to improve recycling accessibility in a community or 
communities within the same geographic area.
    (c) Goal.--The goal of the pilot grant program is to fund eligible 
projects that will significantly improve accessibility to recycling 
systems through investments in infrastructure in underserved 
communities through the use of a hub-and-spoke model for recycling 
infrastructure development.
    (d) Applications.--To be eligible to receive a grant under the 
pilot grant program, an eligible entity shall submit to the 
Administrator an application at such time, in such manner, and 
containing such information as the Administrator may require.
    (e) Considerations.--In selecting eligible entities to receive a 
grant under the pilot grant program, the Administrator shall consider--
            (1) whether the community or communities in which the 
        eligible entity is seeking to carry out a proposed project has 
        curbside recycling;
            (2) whether the proposed project of the eligible entity 
        will improve accessibility to recycling services in a single 
        underserved community or multiple underserved communities; and
            (3) if the eligible entity is a public-private partnership, 
        the financial health of the private entity seeking to enter 
        into that public-private partnership.
    (f) Priority.--In selecting eligible entities to receive a grant 
under the pilot grant program, the Administrator shall give priority to 
eligible entities seeking to carry out a proposed project in a 
community in which there is not more than 1 materials recovery facility 
within a 75-mile radius of that community.
    (g) Use of Funds.--An eligible entity awarded a grant under the 
pilot grant program may use the grant funds for projects to improve 
recycling accessibility in communities, including in underserved 
communities, by--
            (1) increasing the number of transfer stations;
            (2) expanding curbside recycling collection programs where 
        appropriate; and
            (3) leveraging public-private partnerships to reduce the 
        costs associated with collecting and transporting recyclable 
        materials in underserved communities.
    (h) Prohibition on Use of Funds.--An eligible entity awarded a 
grant under the pilot grant program may not use the grant funds for 
projects relating to recycling education programs.
    (i) Minimum and Maximum Grant Amount.--A grant awarded to an 
eligible entity under the pilot grant program shall be in an amount--
            (1) not less than $500,000; and
            (2) not more than $15,000,000.
    (j) Set-Aside.--The Administrator shall set aside not less than 70 
percent of the amounts made available to carry out the pilot grant 
program for each fiscal year to award grants to eligible entities to 
carry out a proposed project or program in a single underserved 
community or multiple underserved communities.
    (k) Federal Share.--The Federal share of the cost of a project or 
program carried out by an eligible entity using grant funds shall be 
not more than 95 percent.
    (l) Report.--Not later than 2 years after the date on which the 
first grant is awarded under the pilot grant program, the Administrator 
shall submit to Congress a report describing the implementation of the 
pilot grant program, which shall include--
            (1) a list of eligible entities that have received a grant 
        under the pilot grant program;
            (2) the actions taken by each eligible entity that received 
        a grant under the pilot grant program to improve recycling 
        accessibility with grant funds; and
            (3) to the extent information is available, a description 
        of how grant funds received under the pilot grant program 
        improved recycling rates in each community in which a project 
        or program was carried out under the pilot grant program.
    (m) Authorization of Appropriations.--
            (1) In general.--There is authorized to be appropriated to 
        the Administrator to carry out the pilot grant program 
        $30,000,000 for each of fiscal years 2025 through 2029, to 
        remain available until expended.
            (2) Administrative costs and technical assistance.--Of the 
        amounts made available under paragraph (1), the Administrator 
        may use up to 5 percent--
                    (A) for administrative costs relating to carrying 
                out the pilot grant program; and
                    (B) to provide technical assistance to eligible 
                entities applying for a grant under the pilot grant 
                program.

SEC. 103. DRINKING WATER INFRASTRUCTURE RISK AND RESILIENCE.

    Section 1433(g) of the Safe Drinking Water Act (42 U.S.C. 300i-
2(g)) is amended--
            (1) in paragraph (1), by striking ``2020 and 2021'' and 
        inserting ``2026 and 2027'';
            (2) in paragraph (4), by striking ``$5,000,000'' and 
        inserting ``$10,000,000'';
            (3) in paragraph (5), by striking ``$10,000,000'' and 
        inserting ``$20,000,000''; and
            (4) in paragraph (6)--
                    (A) by striking ``$25,000,000'' and inserting 
                ``$50,000,000''; and
                    (B) by striking ``2020 and 2021'' and inserting 
                ``2026 and 2027''.

SEC. 104. REAUTHORIZATION OF DIESEL EMISSIONS REDUCTION ACT.

    Section 797(a) of the Energy Policy Act of 2005 (42 U.S.C. 
16137(a)) is amended by striking ``2024'' and inserting ``2029''.

SEC. 105. NATIONWIDE CONSUMER AND FUEL RETAILER CHOICE ACT.

    (a) Short Title.--This section may be cited as the ``Nationwide 
Consumer and Fuel Retailer Choice Act''.
    (b) Ethanol Waiver.--
            (1) Existing waivers.--Section 211(f)(4) of the Clean Air 
        Act (42 U.S.C. 7545(f)(4)) is amended--
                    (A) by striking ``(4) The Administrator, upon'' and 
                inserting the following:
            ``(4) Waivers.--
                    ``(A) In general.--The Administrator, on'';
                    (B) in subparagraph (A) (as so designated)--
                            (i) in the first sentence--
                                    (I) by striking ``of this 
                                subsection'' each place it appears; and
                                    (II) by striking ``if he 
                                determines'' and inserting ``if the 
                                Administrator determines''; and
                            (ii) in the second sentence, by striking 
                        ``The Administrator'' and inserting the 
                        following:
                    ``(B) Final action.--The Administrator''; and
                    (C) by adding at the end the following:
                    ``(C) Reid vapor pressure.--A fuel or fuel additive 
                may be introduced into commerce if--
                            ``(i)(I) the Administrator determines that 
                        the fuel or fuel additive is substantially 
                        similar to a fuel or fuel additive utilized in 
                        the certification of any model year vehicle 
                        pursuant to paragraph (1)(A); or
                            ``(II) the fuel or fuel additive has been 
                        granted a waiver under subparagraph (A) and 
                        meets all of the conditions of that waiver 
                        other than any limitation of the waiver with 
                        respect to the Reid Vapor Pressure of the fuel 
                        or fuel additive; and
                            ``(ii) the fuel or fuel additive meets all 
                        other applicable Reid Vapor Pressure 
                        requirements under subsection (h).''.
            (2) Reid vapor pressure limitation.--Section 211(h) of the 
        Clean Air Act (42 U.S.C. 7545(h)) is amended--
                    (A) by striking ``vapor pressure'' each place it 
                appears and inserting ``Vapor Pressure'';
                    (B) in paragraph (4), in the matter preceding 
                subparagraph (A), by striking ``10 percent'' and 
                inserting ``10 to 15 percent''; and
                    (C) in paragraph (5)(A)--
                            (i) by striking ``Upon notification, 
                        accompanied by'' and inserting ``On receipt of 
                        a notification that is submitted after the date 
                        of enactment of the Nationwide Consumer and 
                        Fuel Retailer Choice Act, and is accompanied by 
                        appropriate'';
                            (ii) by striking ``10 percent'' and 
                        inserting ``10 to 15 percent''; and
                            (iii) by adding at the end the following: 
                        ``Upon the enactment of the Nationwide Consumer 
                        and Fuel Retailer Choice Act, any State for 
                        which the notification from the Governor of a 
                        State was submitted before the date of 
                        enactment of the Nationwide Consumer and Fuel 
                        Retailer Choice Act and to which the 
                        Administrator applied the Reid Vapor Pressure 
                        limitation established by paragraph (1) shall 
                        instead have the Reid Vapor Pressure limitation 
                        established by paragraph (4) apply to all fuel 
                        blends containing gasoline and 10 to 15 percent 
                        denatured anhydrous ethanol that are sold, 
                        offered for sale, dispensed, supplied, offered 
                        for supply, transported, or introduced into 
                        commerce in the area during the high ozone 
                        season.''.
    (c) Generation of Credits by Small Refineries Under the Renewable 
Fuel Program.--Section 211(o)(9) of the Clean Air Act (42 U.S.C. 
7545(o)(9)) is amended by adding at the end the following:
                    ``(E) Credits generated for 2016-2018 compliance 
                years.--
                            ``(i) Rule.--For any small refinery 
                        described in clause (ii) or (iii), the credits 
                        described in the respective clause shall be--
                                    ``(I) returned to the small 
                                refinery and, notwithstanding paragraph 
                                (5)(C), deemed eligible for future 
                                compliance years; or
                                    ``(II) applied as a credit in the 
                                EPA Moderated Transaction System (EMTS) 
                                account of the small refinery.
                            ``(ii) Compliance years 2016 and 2017.--
                        Clause (i) applies with respect to any small 
                        refinery that--
                                    ``(I) retired credits generated for 
                                compliance years 2016 or 2017; and
                                    ``(II) submitted a petition under 
                                subparagraph (B)(i) for that compliance 
                                year that remained outstanding as of 
                                December 1, 2022.
                            ``(iii) Compliance year 2018.--In addition 
                        to small refineries described in clause (ii), 
                        clause (i) applies with respect to any small 
                        refinery--
                                    ``(I) that submitted a petition 
                                under subparagraph (B)(i) for 
                                compliance year 2018 by September 1, 
                                2019;
                                    ``(II) that retired credits 
                                generated for compliance year 2018 as 
                                part of the compliance demonstration of 
                                the small refinery for compliance year 
                                2018 by March 31, 2019; and
                                    ``(III) for which--
                                            ``(aa) the petition 
                                        remained outstanding as of 
                                        December 1, 2022; or
                                            ``(bb) the Administrator 
                                        denied the petition as of July 
                                        1, 2022, and has not returned 
                                        the retired credits as of 
                                        December 1, 2022.''.
    (d) Addressing Renewable Fuel Market Manipulation and 
Transparency.--Not later than 90 days after the date of enactment of 
this Act, the Administrator of the Environmental Protection Agency, in 
collaboration with the Commodity Futures Trading Commission, shall--
            (1) review all applicable Renewable Identification Number 
        (as described in section 80.1425 of title 40, Code of Federal 
        Regulations (or successor regulations)) data collected for the 
        EPA Moderated Transaction System (as defined in section 80.2 of 
        title 40, Code of Federal Regulations (or successor 
        regulations)); and
            (2) submit to Congress a report that identifies any 
        additional data that should be collected to reduce renewable 
        fuel market manipulation.

                          DIVISION B--COMMERCE

                  TITLE I--YOUTH POISONING PREVENTION

SEC. 101. SHORT TITLE.

    This title may be cited as the ``Youth Poisoning Protection Act''.

SEC. 102. BANNING OF PRODUCTS CONTAINING A HIGH CONCENTRATION OF SODIUM 
              NITRITE.

    (a) In General.--Any consumer product containing a high 
concentration of sodium nitrite shall be considered to be a banned 
hazardous product under section 8 of the Consumer Product Safety Act 
(15 U.S.C. 2057).
    (b) Rule of Construction.--Nothing in this section shall be 
construed to--
            (1) prohibit any commercial or industrial purpose in which 
        high concentration sodium nitrite is not customarily produced 
        or distributed for sale to, or use or consumption by, or 
        enjoyment of, a consumer; and
            (2) apply to high concentration sodium nitrite that meets 
        the definition of a drug, device, or cosmetic (as such terms 
        are defined in sections 201(g), (h), and (i) of the Federal 
        Food, Drug, and Cosmetic Act (21 U.S.C. 321(g), (h), and (i))), 
        or food (as defined in section 201(f) of such Act (21 U.S.C. 
        321(f))), including poultry and poultry products (as such terms 
        are defined in sections 4(e) and (f) of the Poultry Products 
        Inspection Act (21 U.S.C. 453(e) and (f))), meat and meat food 
        products (as such terms are defined in section 1(j) of the 
        Federal Meat Inspection Act (21 U.S.C. 601(j))), and eggs and 
        egg products (as such terms are defined in section 4 of the Egg 
        Products Inspection Act (21 U.S.C. 1033)).
    (c) Definitions.--For purposes of this section:
            (1) Consumer product.--The term consumer product has the 
        meaning given that term under section 3(a)(5) of the Consumer 
        Product Safety Act (15 U.S.C. 2052(a)(5)).
            (2) High concentration of sodium nitrite.--The term high 
        concentration of sodium nitrite means a concentration of 10 or 
        more percent by weight of sodium nitrite.
    (d) Effective Date.--This section shall take effect 90 days after 
the date of enactment of this Act.

    TITLE II--CONSUMER PRODUCT SAFETY STANDARD FOR CERTAIN BATTERIES

SEC. 201. CONSUMER PRODUCT SAFETY STANDARD FOR CERTAIN BATTERIES.

    (a) Consumer Product Safety Standard Required.--Not later than 180 
days after the date of the enactment of this Act, the Consumer Product 
Safety Commission (referred to in this section as the ``Commission'') 
shall promulgate, under section 553 of title 5, United States Code, the 
provisions of ANSI/CAN/UL 2271-Standard for Batteries for Use in Light 
Electric Vehicle Applications, ANSI/CAN/UL 2849-Standard for Safety for 
Electrical Systems for eBikes, and ANSI/CAN/UL 2272-Standard for 
Electrical Systems for Personal E-Mobility Devices, as in effect on the 
date of enactment of this Act, as final consumer product safety 
standards.
    (b) Consumer Product Safety Commission Determination of Scope.--In 
adopting the standards under subsection (a), the Commission shall limit 
the application of such standards to consumer products as defined in 
section 3(a)(5) of the Consumer Product Safety Act (15 U.S.C. 
2052(a)(5)).
    (c) Revision of Voluntary Standards.--
            (1) Notice to commission.--If the provisions of ANSI/CAN/UL 
        2271-Standard for Batteries for Use in Light Electric Vehicle 
        Applications, ANSI/CAN/UL 2849-Standard for Safety for 
        Electrical Systems for eBikes, or ANSI/CAN/UL 2272-Standard for 
        Electrical Systems for Personal E-Mobility Devices, are revised 
        following the enactment of this Act, the organization that 
        revised the requirements of such standard shall notify the 
        Commission after the final approval of the revision.
            (2) Treatment of revision.--The revised voluntary standard 
        shall be considered to be a consumer product safety standard 
        issued by the Commission under section 9 of the Consumer 
        Product Safety Act (15 U.S.C. 2058), effective 180 days after 
        the date on which the organization notifies the Commission (or 
        such later date specified by the Commission in the Federal 
        Register) unless, within 90 days after receiving that notice, 
        the Commission notifies the organization that it has determined 
        that the proposed revision, in whole or in part, does not 
        improve the safety of the consumer product covered by the 
        standard and that the Commission is retaining the existing 
        consumer product safety standard.
    (d) Treatment of Standard.--A standard promulgated under this 
section, including a revision of such standard adopted by the 
Commission, shall be treated as a consumer product safety rule 
promulgated under section 9 of the Consumer Product Safety Act (15 
U.S.C. 2058).
    (e) Report to Congress.--
            (1) In general.--Not later than 5 years after the date of 
        enactment of this Act, the Commission shall submit to the 
        Committee on Commerce, Science, and Transportation of the 
        Senate and the Committee on Energy and Commerce of the House of 
        Representatives, a report regarding fires, explosions, and 
        other hazards relating to lithium-ion batteries used in 
        micromobility products during the period beginning on the date 
        of enactment of this Act and ending on the report date.
            (2) Content.--The report required by paragraph (1) shall 
        describe, at a minimum--
                    (A) the source of the information that was provided 
                to the Commission regarding the fire, explosion, or 
                other hazard;
                    (B) the make and model of the lithium-ion battery 
                and micromobility product that resulted in a fire, 
                explosion, or other hazard, if known;
                    (C) whether a lithium-ion battery involved in a 
                fire, explosion, or other hazard complied with the 
                standard required by this section, if known; and
                    (D) if known, the manufacturer and country of 
                manufacture of a lithium-ion battery that resulted in a 
                fire, explosion, or other hazard.

      TITLE III--FOREIGN ADVERSARY COMMUNICATIONS TRANSPARENCY ACT

SEC. 301. SHORT TITLE.

    This title may be cited as the ``Foreign Adversary Communications 
Transparency Act''.

SEC. 302. LIST OF ENTITIES HOLDING FCC AUTHORIZATIONS, LICENSES, OR 
              OTHER GRANTS OF AUTHORITY AND HAVING CERTAIN FOREIGN 
              OWNERSHIP.

    (a) In General.--Not later than 120 days after the date of the 
enactment of this Act, the Commission shall publish on the internet 
website of the Commission a list of each entity--
            (1) that holds a license issued by the Commission pursuant 
        to--
                    (A) section 309(j) of the Communications Act of 
                1934 (47 U.S.C. 309(j)); or
                    (B) the Act of May 27, 1921 (47 U.S.C. 34 et seq.; 
                commonly known as the ``Cable Landing Licensing Act'') 
                and Executive Order 10530 (3 U.S.C. 301 note; relating 
                to the performance of certain functions vested in or 
                subject to the approval of the President); and
            (2) with respect to which--
                    (A) a covered entity holds an equity or voting 
                interest that is required to be reported to the 
                Commission under the ownership rules of the Commission; 
                or
                    (B) an appropriate national security agency has 
                determined that a covered entity exerts control, 
                regardless of whether such covered entity holds an 
                equity or voting interest as described in subparagraph 
                (A).
    (b) Rulemaking.--
            (1) In general.--Not later than 18 months after the date of 
        the enactment of this Act, the Commission shall issue rules to 
        obtain information to identify each entity--
                    (A) that holds any authorization, license, or other 
                grant of authority issued by the Commission (other than 
                a license described in subsection (a)(1)); and
                    (B) with respect to which a covered entity holds an 
                equity or voting interest that is required to be 
                reported to the Commission under the ownership rules of 
                the Commission.
            (2) Placement on list.--Not later than 1 year after the 
        Commission issues the rules required by paragraph (1), the 
        Commission shall place each entity described in such paragraph 
        on the list published under subsection (a).
    (c) Paperwork Reduction Act Exemption.--A collection of information 
conducted or sponsored by the Commission to implement this section does 
not constitute a collection of information for the purposes of 
subchapter I of chapter 35 of title 44, United States Code (commonly 
referred to as the ``Paperwork Reduction Act'').
    (d) Annual Updates.--The Commission shall, not less frequently than 
annually, update the list published under subsection (a), including 
with respect to any entity required to be placed on such list by 
subsection (b)(2).
    (e) Definitions.--In this section:
            (1) Appropriate national security agency.--The term 
        ``appropriate national security agency'' has the meaning given 
        such term in section 9 of the Secure and Trusted Communications 
        Networks Act of 2019 (47 U.S.C. 1608).
            (2) Commission.--The term ``Commission'' means the Federal 
        Communications Commission.
            (3) Covered country.--The term ``covered country'' means a 
        country specified in section 4872(f)(2) of title 10, United 
        States Code.
            (4) Covered entity.--The term ``covered entity'' means--
                    (A) the government of a covered country;
                    (B) an entity organized under the laws of a covered 
                country; and
                    (C) a subsidiary of an entity described in 
                subparagraph (B), regardless of whether the subsidiary 
                is organized under the laws of a covered country.

              TITLE IV--PROMOTING RESILIENT SUPPLY CHAINS

SEC. 401. SHORT TITLE.

    This title may be cited as the ``Promoting Resilient Supply Chains 
Act''.

SEC. 402. ADDITIONAL RESPONSIBILITIES OF ASSISTANT SECRETARY OF 
              COMMERCE FOR INDUSTRY AND ANALYSIS.

    In addition to the responsibilities of the Assistant Secretary on 
the day before the date of the enactment of this Act, the Assistant 
Secretary shall have the following responsibilities:
            (1) Promote the stability and resilience of critical supply 
        chains and critical and emerging technologies that strengthen 
        the national security of the United States.
            (2) Lead the Working Group established pursuant to section 
        403 and consult covered nongovernmental representatives, 
        industry, institutions of higher education, and State and local 
        governments in order to--
                    (A) promote resilient critical supply chains; and
                    (B) identify, prepare for, and respond to supply 
                chain shocks to--
                            (i) critical industries;
                            (ii) critical supply chains; and
                            (iii) critical and emerging technologies.
            (3) Encourage the growth and competitiveness of United 
        States production and manufacturing in the United States of 
        emerging technologies.
            (4) Assess the resilience, diversity, and strength of 
        critical supply chains and critical and emerging technologies.
            (5) In consultation with the Secretary of State and the 
        United States Trade Representative, support the availability of 
        critical goods from domestic manufacturers, domestic 
        enterprises, and manufacturing operations in countries that are 
        allies or key international partner nations.
            (6) Assist the Federal Government in preparing for and 
        responding to supply chain shocks to critical supply chains, 
        including by improving flexible manufacturing capacities and 
        capabilities in the United States.
            (7) Consistent with United States obligations under 
        international agreements, encourage and incentivize the reduced 
        reliance of domestic enterprises and domestic manufacturers on 
        critical goods from countries that are described in section 
        407(2)(B).
            (8) Encourage the relocation of manufacturing facilities 
        that manufacture critical goods from countries that are 
        described in section 407(2)(B) to the United States and 
        countries that are allies or key international partner nations 
        to strengthen the resilience, diversity, and strength of 
        critical supply chains.

SEC. 403. CRITICAL SUPPLY CHAIN RESILIENCE WORKING GROUP.

    (a) Establishment.--Not later than 120 days after the date of the 
enactment of this Act, the Assistant Secretary shall establish a 
working group to be known as the ``Supply Chain Resilience Working 
Group'' (in this title referred to as the ``Working Group'') composed 
of the Federal agencies that rely upon the Industry and Analysis 
Business unit analysis, including agencies enumerated in subsection 
(c).
    (b) Activities.--Not later than 1 year after the date of the 
enactment of this Act, the Assistant Secretary shall carry out the 
following activities:
            (1) In consultation with the Working Group--
                    (A) assessing, mapping, and modeling critical 
                supply chains, including for critical and emerging 
                technologies, which may include--
                            (i) modeling the impact of supply chain 
                        shocks on critical industries (including for 
                        critical and emerging technologies), and 
                        critical supply chains;
                            (ii) assessing the demand for and supply of 
                        critical goods, production equipment, and 
                        manufacturing technology needed for critical 
                        supply chains, including critical goods, 
                        production equipment, and manufacturing 
                        technology obtained by or purchased from a 
                        person outside of the United States or imported 
                        into the United States; and
                            (iii) assessing manufacturing, warehousing, 
                        transportation, and distribution related to 
                        critical supply chains;
                    (B) identifying high priority gaps and 
                vulnerabilities in critical supply chains and critical 
                industries (including critical industries for critical 
                and emerging technologies) that--
                            (i) exist as of the date of the enactment 
                        of this Act; or
                            (ii) are anticipated to occur after the 
                        date of the enactment of this Act;
                    (C) identifying potential supply chain shocks to a 
                critical supply chain that may disrupt, strain, or 
                eliminate the critical supply chain;
                    (D) evaluating the capability and capacity of 
                domestic manufacturers or manufacturers located in 
                countries that are allies or key international partner 
                nations to serve as sources for critical goods, 
                production equipment, or manufacturing technology 
                needed in critical supply chains;
                    (E) evaluating the effect on market stability that 
                may result from the disruption, strain, or elimination 
                of a critical supply chain;
                    (F) evaluating the state of the manufacturing 
                workforce, including by--
                            (i) identifying the needs of domestic 
                        manufacturers; and
                            (ii) identifying opportunities to create 
                        high-quality manufacturing jobs; and
                    (G) identifying and describing necessary tools, 
                including commercially available risk assessment tools, 
                that leverage data and industry expertise to provide 
                insights into critical supply chain vulnerabilities, 
                including how such tools fulfill the requirements 
                described in subparagraphs (A) through (F).
            (2) In consultation with State and local governments, the 
        Working Group, and (as appropriate) countries that are allies 
        or key international partner nations--
                    (A) identifying opportunities to reduce gaps and 
                vulnerabilities in critical supply chains and critical 
                industries;
                    (B) encouraging consultation between the Federal 
                Government, industry, covered nongovernmental 
                representatives, institutions of higher education, and 
                State and local governments to--
                            (i) better respond to supply chain shocks 
                        to critical supply chains and critical 
                        industries (including critical industries for 
                        emerging technologies); and
                            (ii) coordinate response efforts to supply 
                        chain shocks;
                    (C) encouraging consultation between the Federal 
                Government and the governments of countries that are 
                allies or key international partner nations;
                    (D) identifying opportunities to build the capacity 
                of the United States in critical supply chains, 
                critical industries, and emerging technologies;
                    (E) identifying opportunities to build the capacity 
                of countries that are allies or key international 
                partner nations in critical industries (including 
                critical industries for emerging technologies) and 
                critical supply chains; and
                    (F) developing and assessing contingency plans and 
                coordination mechanisms to improve the response of 
                critical supply chains and critical industries to 
                supply chain shocks.
    (c) Working Group Membership.--The Working Group shall include a 
representative from each Federal agency that relies on the analysis of 
the Industry and Analysis business unit, including--
            (1) the Department of State;
            (2) the Department of Defense;
            (3) the Department of Homeland Security;
            (4) the Department of Transportation;
            (5) the Department of Energy;
            (6) the Department of Agriculture;
            (7) the Department of the Interior;
            (8) the Department of Health and Human Services;
            (9) the Office of the Director of National Intelligence; 
        and
            (10) the Small Business Administration.
    (d) Designations.--The Assistant Secretary shall--
            (1) not later than 120 days after the date of the enactment 
        of this Act, designate--
                    (A) critical industries;
                    (B) critical supply chains; and
                    (C) critical goods;
            (2) provide for a period of public comment and review in 
        carrying out paragraph (1); and
            (3) update the designations made pursuant to paragraph (1) 
        not less frequently than once every 4 years, including 
        designations for technologies that are not described in section 
        407(12)(B) that the Assistant Secretary considers necessary.
    (e) Implementation Report.--Not later than 1 year after the date of 
the enactment of this Act, the Assistant Secretary shall submit to the 
relevant committees of Congress a report that--
            (1) details supply chain activities, including applicable 
        activities described in subsection (b) and responsibilities 
        described in section 402, that the Assistant Secretary has 
        conducted over the past year;
            (2) describes supply chain data collected, retained, and 
        analyzed by the Assistant Secretary over the past year;
            (3) identifies and describes necessary tools, including 
        commercially available risk assessment tools, that leverage 
        data and industry expertise to provide insights into critical 
        supply chain vulnerabilities, including how such tools fulfill 
        each responsibility described in subsection (b);
            (4) identifies and describes all Federal agencies with 
        authorities or responsibilities described in subsection (b); 
        and
            (5) identifies Federal agencies, programs, and bureaus with 
        duplicative purposes to fulfill any of the authorities or 
        responsibilities described in subsection (b).
    (f) National Strategy and Review on Critical Supply Chain 
Resiliency and Manufacturing in the United States.--
            (1) In general.--Not later than 18 months after the date of 
        the enactment of this Act, and annually thereafter, the 
        Assistant Secretary, in consultation with the Working Group, 
        covered nongovernmental representatives, industries, 
        institutions of higher education, and State and local 
        governments, shall submit to the relevant committees of 
        Congress a report that--
                    (A) identifies--
                            (i) critical infrastructure that may assist 
                        in fulfilling the responsibilities described in 
                        section 402;
                            (ii) critical and emerging technologies 
                        that may assist in fulfilling the 
                        responsibilities described in section 402, 
                        including such technologies that may be 
                        critical to addressing preparedness, 
                        weaknesses, and vulnerabilities relating to 
                        critical supply chains;
                            (iii) critical industries, critical supply 
                        chains, and critical goods designated pursuant 
                        to subsection (d);
                            (iv) other supplies and services that are 
                        critical to the crisis preparedness of the 
                        United States;
                            (v) substitutes for critical goods, 
                        production equipment, and manufacturing 
                        technology;
                            (vi) methods and technologies, including 
                        blockchain technology, distributed ledger 
                        technology, and other critical and emerging 
                        technologies, as appropriate, for the 
                        authentication and traceability of critical 
                        goods; and
                            (vii) countries that are allies or key 
                        international partner nations;
                    (B) describes the matters identified and evaluated 
                under subsection (b)(1), including--
                            (i) the manufacturing base, critical supply 
                        chains, and emerging technologies in the United 
                        States, including the manufacturing base and 
                        critical supply chains for--
                                    (I) critical goods;
                                    (II) production equipment; and
                                    (III) manufacturing technology; and
                            (ii) the ability of the United States to--
                                    (I) maintain readiness with respect 
                                to preparing for and responding to 
                                supply chain shocks; and
                                    (II) in response to a supply chain 
                                shock--
                                            (aa) surge production in 
                                        critical industries;
                                            (bb) surge production of 
                                        critical goods and production 
                                        equipment; and
                                            (cc) maintain access to 
                                        critical goods, production 
                                        equipment, and manufacturing 
                                        technology;
                    (C) assesses and describes--
                            (i) the demand and supply of critical 
                        goods, production equipment, and manufacturing 
                        technology;
                            (ii) the production of critical goods, 
                        production equipment, and manufacturing 
                        technology by domestic manufacturers;
                            (iii) the capability and capacity of 
                        domestic manufacturers and manufacturers in 
                        countries that are allies or key international 
                        partner nations to manufacture critical goods, 
                        production equipment, and manufacturing 
                        technology; and
                            (iv) how supply chain shocks could affect 
                        rural, Tribal, and underserved communities;
                    (D) identifies threats and supply chain shocks that 
                may disrupt, strain, or eliminate critical supply 
                chains, critical goods, and critical industries 
                (including critical industries for emerging 
                technologies);
                    (E) with regard to any threat identified under 
                subparagraph (D), lists any threat or supply chain 
                shock that may originate from a country, or a company 
                or individual from a country, that is described in 
                section 407(2)(B);
                    (F) assesses--
                            (i) the resilience and capacity of the 
                        manufacturing base, critical supply chains, and 
                        workforce of the United States and countries 
                        that are allies or key international partner 
                        nations that can sustain critical industries 
                        (including critical industries for emerging 
                        technologies) through a supply chain shock; and
                            (ii) the effect innovation has on domestic 
                        manufacturers;
                    (G) assesses the flexible manufacturing capacity 
                and capability available in the United States in the 
                case of a supply chain shock; and
                    (H) develops a strategy for the Department of 
                Commerce to support the resilience, diversity, and 
                strength of critical supply chains and critical and 
                emerging technologies to--
                            (i) support sufficient access to critical 
                        goods by mitigating vulnerabilities in critical 
                        supply chains, including critical supply chains 
                        concentrated in countries that are described in 
                        section 407(2)(B);
                            (ii) consult with other relevant agencies 
                        to assist countries that are allies or key 
                        international partner nations in building 
                        capacity for manufacturing critical goods;
                            (iii) recover from supply chain shocks;
                            (iv) identify, in consultation with the 
                        Working Group and other relevant agencies, 
                        actions relating to critical supply chains or 
                        emerging technologies that the United States 
                        may take to improve responses to supply chain 
                        shocks;
                            (v) protect against supply chain shocks 
                        relating to critical supply chains from 
                        countries that are described in section 
                        407(2)(B); and
                            (vi) make specific recommendations to 
                        implement the strategy under this section and 
                        improve the security and resiliency of 
                        manufacturing capacity and supply chains for 
                        critical industries (including critical 
                        industries for emerging technologies) by--
                                    (I) developing long-term 
                                strategies;
                                    (II) increasing visibility into the 
                                networks and capabilities of domestic 
                                manufacturers and suppliers of domestic 
                                manufacturers;
                                    (III) identifying and mitigating 
                                risks, including--
                                            (aa) significant 
                                        vulnerabilities to supply chain 
                                        shocks; and
                                            (bb) exposure to gaps and 
                                        vulnerabilities in domestic 
                                        capacity or capabilities and 
                                        sources of imports needed to 
                                        sustain critical industries 
                                        (including critical industries 
                                        for emerging technologies) or 
                                        critical supply chains;
                                    (IV) identifying opportunities to 
                                reuse and recycle critical goods, 
                                including raw materials, to increase 
                                resilient critical supply chains;
                                    (V) consulting with countries that 
                                are allies or key international partner 
                                nations on--
                                            (aa) sourcing critical 
                                        goods, production equipment, 
                                        and manufacturing technology; 
                                        and
                                            (bb) developing, 
                                        sustaining, and expanding 
                                        production and availability of 
                                        critical goods, production 
                                        equipment, and manufacturing 
                                        technology during a supply 
                                        chain shock; and
                                    (VI) providing guidance to other 
                                relevant agencies with respect to 
                                critical goods, supply chains, and 
                                critical industries (including critical 
                                industries for emerging technologies) 
                                that should be prioritized to support 
                                United States leadership in the 
                                deployment of such technologies.
            (2) Prohibition.--The report submitted pursuant to 
        paragraph (1) may not include--
                    (A) critical supply chain information that is not 
                aggregated;
                    (B) confidential business information of a private 
                sector entity; or
                    (C) classified information.
            (3) Form.--The report submitted pursuant to paragraph (1), 
        and any update submitted thereafter, shall be submitted to the 
        relevant committees of Congress in unclassified form and may 
        include a classified annex.
            (4) Public comment.--The Assistant Secretary shall provide 
        for a period of public comment and review in developing the 
        report submitted pursuant to paragraph (1).
    (g) Consultation.--Not later than 1 year after the date of the 
enactment of this Act, the Assistant Secretary shall enter into an 
agreement with the head of any relevant agency to obtain any 
information, data, or assistance that the Assistant Secretary 
determines necessary to conduct the activities described in subsection 
(b).
    (h) Rule of Construction.--Nothing in this section may be construed 
to require any private entity--
            (1) to share information with the Secretary or Assistant 
        Secretary;
            (2) to request assistance from the Secretary or Assistant 
        Secretary; or
            (3) to implement any measure or recommendation suggested by 
        the Secretary or Assistant Secretary in response to a request 
        by the private entity.
    (i) Protection of Voluntarily Shared Critical Supply Chain 
Information.--
            (1) Protection.--
                    (A) In general.--Notwithstanding any other 
                provision of law, critical supply chain information 
                (including the identity of the submitting person or 
                entity) that is voluntarily submitted under this 
                section to the Department of Commerce for use by the 
                Department for purposes of this section, when 
                accompanied by an express statement described in 
                subparagraph (B)--
                            (i) shall be exempt from disclosure under 
                        section 552(b)(3) of title 5, United States 
                        Code (commonly referred to as the ``Freedom of 
                        Information Act'');
                            (ii) is not subject to any agency rules or 
                        judicial doctrine regarding ex parte 
                        communications with a decision-making official;
                            (iii) may not, without the written consent 
                        of the person or entity submitting such 
                        information, be used directly by the Department 
                        of Commerce, any other Federal, State, or local 
                        authority, or any third party, in any civil 
                        action arising under Federal or State law if 
                        such information is submitted in good faith;
                            (iv) may not, without the written consent 
                        of the person or entity submitting such 
                        information, be used or disclosed by any 
                        officer or employee of the United States for 
                        purposes other than the purposes of this 
                        section, except--
                                    (I) in furtherance of an 
                                investigation or the prosecution of a 
                                criminal act; or
                                    (II) when disclosure of the 
                                information would be--
                                            (aa) to either House of 
                                        Congress, or to the extent of 
                                        matter within its jurisdiction, 
                                        any committee or subcommittee 
                                        thereof, any joint committee 
                                        thereof, or any subcommittee of 
                                        any such joint committee; or
                                            (bb) to the Comptroller 
                                        General of the United States, 
                                        or any authorized 
                                        representative of the 
                                        Comptroller General, in the 
                                        course of the performance of 
                                        the duties of the Government 
                                        Accountability Office;
                            (v) may not, if provided to a State or 
                        local government or government agency--
                                    (I) be made available pursuant to 
                                any State or local law requiring 
                                disclosure of information or records;
                                    (II) otherwise be disclosed or 
                                distributed to any party by such State 
                                or local government or government 
                                agency without the written consent of 
                                the person or entity submitting such 
                                information; or
                                    (III) be used other than for the 
                                purpose of carrying out this section, 
                                or in furtherance of an investigation 
                                or the prosecution of a criminal act; 
                                and
                            (vi) does not constitute a waiver of any 
                        applicable privilege or protection provided 
                        under law, such as trade secret protection.
                    (B) Express statement.--The express statement 
                described in this subparagraph, with respect to 
                information or records, is--
                            (i) in the case of written information or 
                        records, a written marking on the information 
                        or records substantially similar to the 
                        following: ``This information is voluntarily 
                        submitted to the Federal Government in 
                        expectation of protection from disclosure as 
                        provided by the provisions of the Promoting 
                        Resilient Supply Chains Act.''; or
                            (ii) in the case of oral information, a 
                        written statement similar to the statement 
                        described in clause (i) submitted within a 
                        reasonable period following the oral 
                        communication.
            (2) Limitation.--No communication of critical supply chain 
        information to the Department of Commerce made pursuant to this 
        section may be considered to be an action subject to the 
        requirements of chapter 10 of title 5, United States Code.
            (3) Independently obtained information.--Nothing in this 
        subsection may be construed to limit or otherwise affect the 
        ability of a State, local, or Federal Government entity, 
        agency, or authority, or any third party, under applicable law 
        to obtain critical supply chain information in a manner not 
        covered by paragraph (1), including any information lawfully 
        and properly disclosed generally or broadly to the public and 
        to use such information in any manner permitted by law. For 
        purposes of this subsection, a permissible use of independently 
        obtained information includes the disclosure of such 
        information under section 2302(b)(8) of title 5, United States 
        Code.
            (4) Treatment of voluntary submittal of information.--The 
        voluntary submittal to the Department of Commerce of 
        information or records that are protected from disclosure by 
        this section may not be construed to constitute compliance with 
        any requirement to submit such information to an agency under 
        any other provision of law.
            (5) Inapplicability to semiconductor incentive program.--
        This subsection does not apply to the voluntary submission of 
        critical supply chain information in an application for Federal 
        financial assistance under section 9902 of the William M. (Mac) 
        Thornberry National Defense Authorization Act for Fiscal Year 
        2021 (Public Law 116-283).

SEC. 404. DEPARTMENT OF COMMERCE CAPABILITY ASSESSMENT.

    (a) Report Required.--The Secretary shall produce a report--
            (1) identifying the duties, responsibilities, resources, 
        programs, and expertise within the offices and bureaus of the 
        Department of Commerce relevant to critical supply chain 
        resilience and manufacturing innovation;
            (2) identifying and assessing the purpose, legal authority, 
        effectiveness, efficiency, and limitations of each office or 
        bureau identified under paragraph (1); and
            (3) providing recommendations to enhance the activities 
        related to critical supply chain resilience and manufacturing 
        innovation of the Department of Commerce, including--
                    (A) improving the effectiveness, efficiency, and 
                impact of the offices and bureaus identified under 
                paragraph (1);
                    (B) coordinating across offices and bureaus 
                identified under paragraph (1); and
                    (C) consulting with agencies implementing similar 
                activities related to critical supply chain resilience 
                and manufacturing innovation.
    (b) Submission of Report.--Not later than 2 years after the date of 
the enactment of this Act, the Secretary shall submit to the relevant 
committees of Congress the report required by subsection (a), along 
with a strategy to implement, as appropriate and as determined by the 
Secretary, the recommendations contained in the report.

SEC. 405. NO ADDITIONAL FUNDS.

    No additional funds are authorized to be appropriated to carry out 
this title.

SEC. 406. SUNSET.

    This title and all requirements, responsibilities, and obligations 
under this title shall terminate on the date that is 10 years after the 
date of the enactment of this Act.

SEC. 407. DEFINITIONS.

    In this title:
            (1) Agency.--The term ``agency'' has the meaning given that 
        term in section 551 of title 5, United States Code.
            (2) Ally or key international partner nation.--The term 
        ``ally or key international partner nation''--
                    (A) means a country that is critical to addressing 
                critical supply chain weaknesses and vulnerabilities; 
                and
                    (B) does not include--
                            (i) a country that poses a significant risk 
                        to the national security or economic security 
                        of the United States; or
                            (ii) a country that is described in section 
                        503(b) of the RANSOMWARE Act (title V of 
                        division BB of the Consolidated Appropriations 
                        Act, 2023; Public Law 117-328; 136 Stat. 5564).
            (3) Assistant secretary.--The term ``Assistant Secretary'' 
        means the Assistant Secretary of Commerce assigned by the 
        Secretary to direct the office of Industry and Analysis.
            (4) Covered nongovernmental representative.--The term 
        ``covered nongovernmental representative'' means a 
        representative as specified in the second sentence of section 
        135(b)(1) of the Trade Act of 1974 (19 U.S.C. 2155(b)(1)), 
        except that such term does not include a representative of a 
        non-Federal government.
            (5) Critical good.--The term ``critical good'' means any 
        raw, in process, or manufactured material (including any 
        mineral, metal, or advanced processed material), article, 
        commodity, supply, product, or item for which an absence of 
        supply would have a debilitating impact on--
                    (A) the national security or economic security of 
                the United States; and
                    (B) either--
                            (i) critical infrastructure; or
                            (ii) an emerging technology.
            (6) Critical industry.--The term ``critical industry'' 
        means an industry that--
                    (A) is critical for the national security or 
                economic security of the United States; and
                    (B) produces or procures a critical good.
            (7) Critical infrastructure.--The term ``critical 
        infrastructure'' has the meaning given that term in section 
        1016 of the Critical Infrastructures Protection Act of 2001 (42 
        U.S.C. 5195c).
            (8) Critical supply chain.--The term ``critical supply 
        chain'' means a supply chain for a critical good.
            (9) Critical supply chain information.--The term ``critical 
        supply chain information'' means information that is not 
        customarily in the public domain and relates to--
                    (A) sustaining and adapting a critical supply chain 
                during a supply chain shock;
                    (B) critical supply chain risk mitigation and 
                recovery planning with respect to a supply chain shock, 
                including any planned or past assessment, projection, 
                or estimate of a vulnerability within the critical 
                supply chain, including testing, supplier network 
                assessments, production flexibility, supply chain risk 
                evaluations, supply chain risk management planning, or 
                risk audits; or
                    (C) operational best practices, planning, and 
                supplier partnerships that enable enhanced resilience 
                of a critical supply chain during a supply chain shock, 
                including response, repair, recovery, reconstruction, 
                insurance, or continuity.
            (10) Domestic enterprise.--The term ``domestic enterprise'' 
        means an enterprise that conducts business in the United States 
        and procures a critical good.
            (11) Domestic manufacturer.--The term ``domestic 
        manufacturer'' means a business that conducts in the United 
        States the research and development, engineering, or production 
        activities necessary for manufacturing a critical good.
            (12) Emerging technology.--The term ``emerging technology'' 
        means a technology that is critical for the national security 
        or economic security of the United States, including the 
        following:
                    (A) Technologies included in the American COMPETE 
                Act (title XV of division FF of the Consolidated 
                Appropriations Act, 2021; Public Law 116-260; 134 Stat. 
                3276).
                    (B) The following technologies:
                            (i) Artificial intelligence.
                            (ii) Automated vehicles and unmanned 
                        delivery systems.
                            (iii) Blockchain and other distributed 
                        ledger, data storage, data management, and 
                        cybersecurity technologies.
                            (iv) Quantum computing and quantum sensing.
                            (v) Additive manufacturing.
                            (vi) Advanced manufacturing and the 
                        Internet of Things.
                            (vii) Nano technology.
                            (viii) Robotics.
                            (ix) Microelectronics, optical fiber ray, 
                        and high performance and advanced computer 
                        hardware and software.
                            (x) Semiconductors.
                            (xi) Advanced materials science, including 
                        composition 2D, other next generation 
                        materials, and related manufacturing 
                        technologies.
            (13) Institution of higher education.--The term 
        ``institution of higher education'' has the meaning given that 
        term in section 101 of the Higher Education Act of 1965 (20 
        U.S.C. 1001).
            (14) Manufacture.--The term ``manufacture''--
                    (A) means any activity that is necessary for the 
                development, production, processing, distribution, or 
                delivery of any raw, in process, or manufactured 
                material (including any mineral, metal, and advanced 
                processed material), article, commodity, supply, 
                product, critical good, or item of supply; and
                    (B) does not include software unrelated to the 
                manufacturing process.
            (15) Manufacturing technology.--The term ``manufacturing 
        technology'' means a technology that is necessary for the 
        manufacturing of a critical good.
            (16) Production equipment.--The term ``production 
        equipment'' means any component, subsystem, system, equipment, 
        tooling, accessory, part, or assembly necessary for the 
        manufacturing of a critical good.
            (17) Relevant committees of congress.--The term ``relevant 
        committees of Congress'' means the following:
                    (A) The Committee on Commerce, Science, and 
                Transportation of the Senate.
                    (B) The Committee on Energy and Commerce of the 
                House of Representatives.
            (18) Resilient critical supply chain.--The term ``resilient 
        critical supply chain'' means a critical supply chain that--
                    (A) ensures that the United States can sustain 
                critical industry, including emerging technologies, 
                production, critical supply chains, services, and 
                access to critical goods, production equipment, and 
                manufacturing technology during a supply chain shock; 
                and
                    (B) has key components of resilience that include--
                            (i) effective private sector risk 
                        management and mitigation planning to sustain 
                        critical supply chains and supplier networks 
                        during a supply chain shock; and
                            (ii) minimized or managed exposure to a 
                        supply chain shock.
            (19) Secretary.--The term ``Secretary'' means the Secretary 
        of Commerce.
            (20) State.--The term ``State'' means each of the several 
        States, the District of Columbia, each commonwealth, territory, 
        or possession of the United States, and each federally 
        recognized Indian Tribe.
            (21) Supply chain shock.--The term ``supply chain shock''--
                    (A) means an event causing severe or serious 
                disruption to normal operations or capacity in a supply 
                chain; and
                    (B) includes--
                            (i) a natural disaster;
                            (ii) a pandemic;
                            (iii) a biological threat;
                            (iv) a cyber attack;
                            (v) a geopolitical conflict;
                            (vi) a terrorist or geopolitical attack;
                            (vii) a trade disruption caused by--
                                    (I) a country described in 
                                paragraph (2)(B); or
                                    (II) an entity or an individual 
                                subject to the jurisdiction of such a 
                                country; and
                            (viii) an event for which the President 
                        declares a major disaster or an emergency under 
                        section 401 or 501, respectively, of the Robert 
                        T. Stafford Disaster Relief and Emergency 
                        Assistance Act (42 U.S.C. 5170; 42 U.S.C. 
                        5191).

                TITLE V--DEPLOYING AMERICAN BLOCKCHAINS

SEC. 501. SHORT TITLE.

    This title may be cited as the ``Deploying American Blockchains 
Act''.

SEC. 502. DEFINITIONS.

    In this title:
            (1) Advisory committee.--The term ``Advisory Committee'' 
        means the National Blockchain Deployment Advisory Committee 
        established pursuant to section 503(c).
            (2) Blockchain technology or other distributed ledger 
        technology.--The term ``blockchain technology or other 
        distributed ledger technology'' means a distributed digital 
        database where data is--
                    (A) shared across a network of computers to create 
                a ledger of verified information among network 
                participants;
                    (B) linked using cryptography to maintain the 
                integrity of the ledger and to execute other functions; 
                and
                    (C) distributed among network participants in an 
                automated fashion to concurrently update network 
                participants on the state of the ledger and other 
                functions.
            (3) Covered nongovernmental representative.--The term 
        ``covered nongovernmental representative'' means a 
        representative as specified in the second sentence of section 
        135(b)(1) of the Trade Act of 1974 (19 U.S.C. 2155(b)(1)), 
        except that such term does not include a representative of a 
        non-Federal government.
            (4) Secretary.--The term ``Secretary'' means the Secretary 
        of Commerce.
            (5) State.--The term ``State'' means each of the several 
        States, the District of Columbia, each commonwealth, territory, 
        or possession of the United States, and each federally 
        recognized Indian Tribe.
            (6) Token.--The term ``token'' means a transferable, 
        digital representation of information recorded on blockchain 
        technology or other distributed ledger technology.
            (7) Tokenization.--The term ``tokenization'' means the 
        process of creating a token.

SEC. 503. DEPARTMENT OF COMMERCE LEADERSHIP ON BLOCKCHAIN.

    (a) Function of Secretary.--The Secretary shall serve as a 
principal advisor to the President for policy pertaining to the 
deployment, use, application, and competitiveness of blockchain 
technology or other distributed ledger technology, applications built 
on blockchain technology or other distributed ledger technology, 
tokens, and tokenization.
    (b) Activities.--The Secretary shall support the leadership of the 
United States with respect to the deployment, use, application, and 
competitiveness of blockchain technology or other distributed ledger 
technology, applications built on blockchain technology or other 
distributed ledger technology, tokens, and tokenization by organizing 
the Advisory Committee--
            (1) to examine and to provide recommendations on issues and 
        risks relating to the deployment, use, application, and 
        competitiveness of blockchain technology or other distributed 
        ledger technology, applications built on blockchain technology 
        or other distributed ledger technology, tokens, and 
        tokenization, including the issues of decentralized identity, 
        cybersecurity, key storage and security systems, artificial 
        intelligence, fraud reduction, regulatory compliance, e-
        commerce, health care applications, and supply chain 
        resiliency;
            (2) to support and to promote the improvement and security 
        of blockchain technology or other distributed ledger 
        technology, applications built on blockchain technology or 
        other distributed ledger technology, tokens, and tokenization;
            (3) to help to promote the leadership of the United States 
        with respect to the deployment, use, application, and 
        competitiveness of blockchain technology or other distributed 
        ledger technology, applications built on blockchain technology 
        or other distributed ledger technology, tokens, and 
        tokenization;
            (4) to promote the national security of the United States 
        with respect to blockchain technology or other distributed 
        ledger technology, applications built on blockchain technology 
        or other distributed ledger technology, tokens, and 
        tokenization;
            (5) to support engagement with the public to develop a 
        compendium of proposals for practices as part of the work 
        described in subsection (d);
            (6) to consider policies to encourage coordination among 
        Federal agencies with respect to the deployment of blockchain 
        technology or other distributed ledger technology, applications 
        built on blockchain technology or other distributed ledger 
        technology, tokens, and tokenization;
            (7) to examine--
                    (A) how Federal agencies can benefit from utilizing 
                blockchain technology or other distributed ledger 
                technology, applications built on blockchain technology 
                or other distributed ledger technology, tokens, and 
                tokenization;
                    (B) the current use by Federal agencies of 
                blockchain technology or other distributed ledger 
                technology, applications built on blockchain technology 
                or other distributed ledger technology, tokens, and 
                tokenization;
                    (C) the current and future preparedness and ability 
                of Federal agencies to adopt blockchain technology or 
                other distributed ledger technology, applications built 
                on blockchain technology or other distributed ledger 
                technology, tokens, and tokenization; and
                    (D) additional security measures Federal agencies 
                may need to take--
                            (i) to securely use blockchain technology 
                        or other distributed ledger technology, 
                        applications built on blockchain technology or 
                        other distributed ledger technology, tokens, 
                        and tokenization, including to support the 
                        security of critical infrastructure; and
                            (ii) to enhance the resiliency of Federal 
                        systems against cyber threats to blockchain 
                        technology or other distributed ledger 
                        technology, applications built on blockchain 
                        technology or other distributed ledger 
                        technology, tokens, and tokenization; and
            (8) to support coordination of the activities of the 
        Federal Government relating to the security of blockchain 
        technology and other distributed ledger technology, 
        applications built on blockchain technology or other 
        distributed ledger technology, tokens, and tokenization.
    (c) Establishment of National Blockchain Deployment Advisory 
Committee.--
            (1) Establishment.--
                    (A) In general.--Not later than 180 days after the 
                date of the enactment of this Act, the Secretary shall, 
                in consultation with the heads of relevant Federal 
                agencies, establish an advisory committee to support 
                the adoption of blockchain technology or other 
                distributed ledger technology, applications built on 
                blockchain technology or other distributed ledger 
                technology, tokens, and tokenization.
                    (B) Designation.--The advisory committee 
                established pursuant to subparagraph (A) shall be known 
                as the ``National Blockchain Deployment Advisory 
                Committee''.
            (2) Membership composition.--The Advisory Committee shall 
        consist of members appointed by the Secretary, which shall 
        include--
                    (A) the Secretary;
                    (B) representatives of Federal agencies (as 
                determined necessary by the Secretary); and
                    (C) covered nongovernmental representatives with 
                expertise related to blockchain technology or other 
                distributed ledger technology (as determined necessary 
                by the Secretary), which may include--
                            (i) blockchain technology or other 
                        distributed ledger technology infrastructure 
                        operators, suppliers, service providers, and 
                        vendors;
                            (ii) application developers building on 
                        blockchain technology or other distributed 
                        ledger technology;
                            (iii) developers and organizations 
                        supporting the advancement and deployment of 
                        public blockchain technology or other 
                        distributed ledger technology;
                            (iv) subject matter experts representing 
                        industrial sectors that can benefit from 
                        blockchain technology or other distributed 
                        ledger technology;
                            (v) small, medium, and large businesses;
                            (vi) think tanks and academia;
                            (vii) nonprofit organizations and consumer 
                        groups;
                            (viii) cybersecurity experts;
                            (ix) rural stakeholders;
                            (x) covered nongovernmental 
                        representatives; and
                            (xi) artists and the content creator 
                        community.
            (3) Termination of advisory committee.--The Advisory 
        Committee shall terminate on the date that is 7 years after the 
        date of the enactment of this Act.
    (d) Best Practices.--The Secretary shall, on an ongoing basis, 
facilitate and support the development of a compendium of identified or 
recommended guidelines or best practices for the deployment of 
blockchain technology or other distributed ledger technology, 
applications built on blockchain technology or other distributed ledger 
technology, tokens, and tokenization that--
            (1) support the deployment of technologies needed to 
        advance the capabilities of blockchain technology or other 
        distributed ledger technology, applications built on blockchain 
        technology or other distributed ledger technology, tokens, and 
        tokenization;
            (2) support the interoperability of blockchain technology 
        or other distributed ledger technology, applications built on 
        blockchain technology or other distributed ledger technology, 
        tokens, and tokenization;
            (3) support operations, including hashing and key storage 
        and security systems, that form the foundation of blockchain 
        technology or other distributed ledger technology, applications 
        built on blockchain technology or other distributed ledger 
        technology, tokens, and tokenization;
            (4) reduce cybersecurity risks that may compromise 
        blockchain technology or other distributed ledger technology, 
        applications built on blockchain technology or other 
        distributed ledger technology, tokens, and tokenization; and
            (5) quantify the value and potential cost savings 
        associated with adoption of blockchain technology or other 
        distributed ledger technology, applications built on blockchain 
        technology or other distributed ledger technology, tokens, and 
        tokenization, including through comparative analyses of 
        competing and existing technologies within specific industry 
        applications.
    (e) Additional Requirements.--In carrying out this section, the 
Secretary shall--
            (1) consult closely and regularly with stakeholders, 
        including private sector individuals and entities, and 
        incorporate industry expertise;
            (2) collaborate with private sector stakeholders to 
        identify prioritized, flexible, repeatable, performance-based, 
        and cost-effective approaches to the deployment of blockchain 
        technology or other distributed ledger technology, applications 
        built on blockchain technology or other distributed ledger 
        technology, tokens, and tokenization;
            (3) make public research and information pertaining to the 
        use of, and marketplace for, blockchain technology or other 
        distributed ledger technology, applications built on blockchain 
        technology or other distributed ledger technology, tokens, and 
        tokenization;
            (4) develop standardized terminology for, and promote 
        common understanding of, blockchain technology or other 
        distributed ledger technology, applications built on blockchain 
        technology or other distributed ledger technology, tokens, and 
        tokenization;
            (5) align the recommendations of the compendium described 
        in subsection (d) with the goal of facilitating the ease of use 
        of blockchain technology or other distributed ledger 
        technology, applications built on blockchain technology or 
        other distributed ledger technology, tokens, and tokenization;
            (6) support open-source infrastructure, data management, 
        and authentication activities with respect to blockchain 
        technology or other distributed ledger technology, applications 
        built on blockchain technology or other distributed ledger 
        technology, tokens, and tokenization; and
            (7) consider the needs and interests of both the private 
        and public sector, including small businesses and Federal, 
        State, and local governments.
    (f) Rules of Construction.--Nothing in this section may be 
construed--
            (1) to require a private entity to share information with 
        the Secretary;
            (2) to require a private entity to request assistance from 
        the Secretary;
            (3) to require a private entity to implement any measure or 
        recommendation suggested by the Secretary in response to a 
        request by the private entity; or
            (4) to require the adoption of the best practices described 
        in subsection (d).
    (g) Consultation.--In implementing this section, the Secretary may, 
as appropriate, consult with the heads of relevant Federal agencies.

SEC. 504. REPORTS TO CONGRESS.

    (a) Interim Reports.--Not later than 2 years after the date of the 
enactment of this Act, and annually thereafter, the Secretary shall 
make public on the website of the Department of Commerce and submit to 
the Committee on Commerce, Science, and Transportation of the Senate 
and the Committee on Energy and Commerce of the House of 
Representatives a report that includes--
            (1) a description of the activities of the Secretary under 
        this title during the preceding year;
            (2) any recommendations by the Secretary for additional 
        legislation to strengthen the competitiveness of the United 
        States with respect to blockchain technology or other 
        distributed ledger technology, applications built on blockchain 
        technology or other distributed ledger technology, tokens, and 
        tokenization; and
            (3) a description of any emerging risks and long-term 
        trends with respect to blockchain technology or other 
        distributed ledger technology, applications built on blockchain 
        technology or other distributed ledger technology, tokens, and 
        tokenization.
    (b) Final Report.--Not later than 18 months before the termination 
of the Advisory Committee pursuant to section 503(c)(3), the Secretary 
shall make available to the public on the website of the Department of 
Commerce and submit to the President, the Committee on Commerce, 
Science, and Transportation of the Senate, and the Committee on Energy 
and Commerce of the House of Representatives a final report containing 
the findings, conclusions, and recommendations of the Advisory 
Committee.

                     TITLE VI--FUTURE NETWORKS ACT

SEC. 601. SHORT TITLE.

    This title may be cited as the ``Future Uses of Technology 
Upholding Reliable and Enhanced Networks Act'' or the ``FUTURE Networks 
Act''.

SEC. 602. 6G TASK FORCE.

    (a) Establishment.--Not later than 120 days after the date of the 
enactment of this Act, the Commission shall establish a task force to 
be known as the ``6G Task Force''.
    (b) Membership.--
            (1) Appointment.--The members of the Task Force shall be 
        appointed by the Chair.
            (2) Composition.--To the extent practicable, the membership 
        of the Task Force shall be composed of the following:
                    (A) Representatives of companies in the 
                communications industry, except companies that are 
                determined by the Chair to be not trusted.
                    (B) Representatives of public interest 
                organizations or academic institutions, except public 
                interest organizations or academic institutions that 
                are determined by the Chair to be not trusted.
                    (C) Representatives of the Federal Government, 
                State governments, local governments, or Tribal 
                Governments, with at least one member representing each 
                such type of government.
    (c) Report.--
            (1) In general.--Not later than 1 year after the date on 
        which the Task Force is established under subsection (a), the 
        Task Force shall publish in the Federal Register and on the 
        website of the Commission, and submit to the Committee on 
        Energy and Commerce of the House of Representatives and the 
        Committee on Commerce, Science, and Transportation of the 
        Senate, a report on sixth-generation wireless technology, 
        including--
                    (A) the status of industry-led standards-setting 
                bodies in setting standards for such technology;
                    (B) possible uses of such technology identified by 
                industry-led standards-setting bodies that are setting 
                standards for such technology;
                    (C) any limitations of such technology (including 
                any supply chain or cybersecurity limitations) 
                identified by industry-led standards-setting bodies 
                that are setting standards for such technology;
                    (D) workforce needs to build, maintain, and utilize 
                6G and advanced wireless communications technologies 
                and networks, and strategies to conduct the necessary 
                workforce training;
                    (E) possible uses of emerging technologies and Open 
                RAN networks to bolster 6G and advanced wireless 
                networks; and
                    (F) how to best work with entities across the 
                Federal Government, State governments, local 
                governments, and Tribal Governments to leverage such 
                technology, including with regard to siting, 
                deployment, and adoption.
            (2) Draft report; public comment.--The Task Force shall--
                    (A) not later than 180 days after the date on which 
                the Task Force is established under subsection (a), 
                publish in the Federal Register and on the website of 
                the Commission a draft of the report required by 
                paragraph (1); and
                    (B) accept public comments on such draft and take 
                such comments into consideration in preparing the final 
                version of such report.
    (d) Definitions.--In this section:
            (1) Chair.--The term ``Chair'' means the Chair of the 
        Commission.
            (2) Commission.--The term ``Commission'' means the Federal 
        Communications Commission.
            (3) Not trusted.--
                    (A) In general.--The term ``not trusted'' means, 
                with respect to an entity, that--
                            (i) the Chair has made a public 
                        determination that such entity is owned by, 
                        controlled by, or subject to the influence of a 
                        foreign adversary; or
                            (ii) the Chair otherwise determines that 
                        such entity poses a threat to the national 
                        security of the United States.
                    (B) Criteria for determination.--In making a 
                determination under subparagraph (A)(ii), the Chair 
                shall use the criteria described in paragraphs (1) 
                through (4) of section 2(c) of the Secure and Trusted 
                Communications Networks Act of 2019 (47 U.S.C. 
                1601(c)), as appropriate.
            (4) State.--The term ``State'' has the meaning given such 
        term in section 3 of the Communications Act of 1934 (47 U.S.C. 
        153).
            (5) Task force.--The term ``Task Force'' means the 6G Task 
        Force established under subsection (a).

SEC. 603. TERMINATION OF TASK FORCE.

    The Task Force shall be terminated 30 days after the date on which 
the Task Force submits the report required under section 602(c).

                      TITLE VII--SECURE SPACE ACT

SEC. 701. SHORT TITLE.

    This title may be cited as the ``Secure Space Act''.

SEC. 702. PROHIBITION ON GRANT OF CERTAIN SATELLITE LICENSES, UNITED 
              STATES MARKET ACCESS, OR EARTH STATION AUTHORIZATIONS.

    (a) In General.--The Secure and Trusted Communications Networks Act 
of 2019 (47 U.S.C. 1601 et seq.) is amended--
            (1) by redesignating sections 10 and 11 as sections 11 and 
        12, respectively; and
            (2) by inserting after section 9 the following:

``SEC. 10. PROHIBITION ON GRANT OF CERTAIN SATELLITE LICENSES, UNITED 
              STATES MARKET ACCESS, OR EARTH STATION AUTHORIZATIONS.

    ``(a) In General.--The Commission may not grant a license for, or a 
petition for a declaratory ruling to access the United States market 
using, a geostationary orbit satellite system or a nongeostationary 
orbit satellite system, or an authorization to use an individually 
licensed earth station or a blanket-licensed earth station, if such 
license, grant of market access, or authorization would be held or 
controlled by--
            ``(1) an entity that produces or provides any covered 
        communications equipment or service; or
            ``(2) an affiliate (as defined in section 3 of the 
        Communications Act of 1934 (47 U.S.C. 153)) of an entity 
        described in paragraph (1).
    ``(b) Definitions.--In this section:
            ``(1) Blanket-licensed earth station.--The term `blanket-
        licensed earth station' means an earth station that is licensed 
        with a geostationary orbit satellite system or a 
        nongeostationary orbit satellite system.
            ``(2) Gateway station.--The term `gateway station' means an 
        earth station or a group of earth stations that--
                    ``(A) supports the routing and switching functions 
                of a geostationary orbit satellite system or a 
                nongeostationary orbit satellite system;
                    ``(B) may also be used for telemetry, tracking, and 
                command transmissions;
                    ``(C) does not originate or terminate communication 
                traffic; and
                    ``(D) is not for the exclusive use of any customer.
            ``(3) Individually licensed earth station.--The term 
        `individually licensed earth station' means--
                    ``(A) an earth station (other than a blanket-
                licensed earth station) that sends a signal to, and 
                receives a signal from, a geostationary orbit satellite 
                system or a nongeostationary orbit satellite system; or
                    ``(B) a gateway station.''.
    (b) Applicability.--Section 10 of the Secure and Trusted 
Communications Networks Act of 2019, as added by subsection (a), shall 
apply with respect to the grant of a license, petition, or 
authorization on or after the date of the enactment of this Act.
    (c) Rules.--Not later than 1 year after the date of the enactment 
of this Act, the Federal Communications Commission shall issue rules to 
implement section 10 of the Secure and Trusted Communications Networks 
Act of 2019, as added by subsection (a).

                      TITLE VIII--TAKE IT DOWN ACT

SEC. 801. SHORT TITLE.

    This title may be cited as the ``Tools to Address Known 
Exploitation by Immobilizing Technological Deepfakes on Websites and 
Networks Act'' or the ``TAKE IT DOWN Act''.

SEC. 802. CRIMINAL PROHIBITION ON INTENTIONAL DISCLOSURE OF 
              NONCONSENSUAL INTIMATE VISUAL DEPICTIONS.

    (a) In General.--Section 223 of the Communications Act of 1934 (47 
U.S.C. 223) is amended--
            (1) by redesignating subsection (h) as subsection (i); and
            (2) by inserting after subsection (g) the following:
    ``(h) Intentional Disclosure of Nonconsensual Intimate Visual 
Depictions.--
            ``(1) Definitions.--In this subsection:
                    ``(A) Consent.--The term `consent' means an 
                affirmative, conscious, and voluntary authorization 
                made by an individual free from force, fraud, duress, 
                misrepresentation, or coercion.
                    ``(B) Digital forgery.--The term `digital forgery' 
                means any intimate visual depiction of an identifiable 
                individual created through the use of software, machine 
                learning, artificial intelligence, or any other 
                computer-generated or technological means, including by 
                adapting, modifying, manipulating, or altering an 
                authentic visual depiction, that, when viewed as a 
                whole by a reasonable person, is indistinguishable from 
                an authentic visual depiction of the individual.
                    ``(C) Identifiable individual.--The term 
                `identifiable individual' means an individual--
                            ``(i) who appears in whole or in part in an 
                        intimate visual depiction; and
                            ``(ii) whose face, likeness, or other 
                        distinguishing characteristic (including a 
                        unique birthmark or other recognizable feature) 
                        is displayed in connection with such intimate 
                        visual depiction.
                    ``(D) Interactive computer service.--The term 
                `interactive computer service' has the meaning given 
                the term in section 230.
                    ``(E) Intimate visual depiction.--The term 
                `intimate visual depiction' has the meaning given such 
                term in section 1309 of the Consolidated Appropriations 
                Act, 2022 (15 U.S.C. 6851).
                    ``(F) Minor.--The term `minor' means any individual 
                under the age of 18 years.
            ``(2) Offense involving authentic intimate visual 
        depictions.--
                    ``(A) Involving adults.--Except as provided in 
                subparagraph (C), it shall be unlawful for any person, 
                in interstate or foreign commerce, to use an 
                interactive computer service to knowingly publish an 
                intimate visual depiction of an identifiable individual 
                who is not a minor if--
                            ``(i) the intimate visual depiction was 
                        obtained or created under circumstances in 
                        which the person knew or reasonably should have 
                        known the identifiable individual had a 
                        reasonable expectation of privacy;
                            ``(ii) what is depicted was not voluntarily 
                        exposed by the identifiable individual in a 
                        public or commercial setting;
                            ``(iii) what is depicted is not a matter of 
                        public concern; and
                            ``(iv) publication of the intimate visual 
                        depiction--
                                    ``(I) is intended to cause harm; or
                                    ``(II) causes harm, including 
                                psychological, financial, or 
                                reputational harm, to the identifiable 
                                individual.
                    ``(B) Involving minors.--Except as provided in 
                subparagraph (C), it shall be unlawful for any person, 
                in interstate or foreign commerce, to use an 
                interactive computer service to knowingly publish an 
                intimate visual depiction of an identifiable individual 
                who is a minor with intent to--
                            ``(i) abuse, humiliate, harass, or degrade 
                        the minor; or
                            ``(ii) arouse or gratify the sexual desire 
                        of any person.
                    ``(C) Exceptions.--Subparagraphs (A) and (B) shall 
                not apply to--
                            ``(i) a lawfully authorized investigative, 
                        protective, or intelligence activity of--
                                    ``(I) a law enforcement agency of 
                                the United States, a State, or a 
                                political subdivision of a State; or
                                    ``(II) an intelligence agency of 
                                the United States;
                            ``(ii) a disclosure made reasonably and in 
                        good faith--
                                    ``(I) to a law enforcement officer 
                                or agency;
                                    ``(II) as part of a document 
                                production or filing associated with a 
                                legal proceeding;
                                    ``(III) as part of medical 
                                education, diagnosis, or treatment or 
                                for a legitimate medical, scientific, 
                                or education purpose;
                                    ``(IV) in the reporting of unlawful 
                                content or unsolicited or unwelcome 
                                conduct or in pursuance of a legal, 
                                professional, or other lawful 
                                obligation; or
                                    ``(V) to seek support or help with 
                                respect to the receipt of an 
                                unsolicited intimate visual depiction;
                            ``(iii) a disclosure reasonably intended to 
                        assist the identifiable individual; or
                            ``(iv) a person who possesses or publishes 
                        an intimate visual depiction of himself or 
                        herself engaged in nudity or sexually explicit 
                        conduct (as that term is defined in section 
                        2256(2)(A) of title 18, United States Code).
            ``(3) Offense involving digital forgeries.--
                    ``(A) Involving adults.--Except as provided in 
                subparagraph (C), it shall be unlawful for any person, 
                in interstate or foreign commerce, to use an 
                interactive computer service to knowingly publish a 
                digital forgery of an identifiable individual who is 
                not a minor if--
                            ``(i) the digital forgery was published 
                        without the consent of the identifiable 
                        individual;
                            ``(ii) what is depicted was not voluntarily 
                        exposed by the identifiable individual in a 
                        public or commercial setting;
                            ``(iii) what is depicted is not a matter of 
                        public concern; and
                            ``(iv) publication of the digital forgery--
                                    ``(I) is intended to cause harm; or
                                    ``(II) causes harm, including 
                                psychological, financial, or 
                                reputational harm, to the identifiable 
                                individual.
                    ``(B) Involving minors.--Except as provided in 
                subparagraph (C), it shall be unlawful for any person, 
                in interstate or foreign commerce, to use an 
                interactive computer service to knowingly publish a 
                digital forgery of an identifiable individual who is a 
                minor with intent to--
                            ``(i) abuse, humiliate, harass, or degrade 
                        the minor; or
                            ``(ii) arouse or gratify the sexual desire 
                        of any person.
                    ``(C) Exceptions.--Subparagraphs (A) and (B) shall 
                not apply to--
                            ``(i) a lawfully authorized investigative, 
                        protective, or intelligence activity of--
                                    ``(I) a law enforcement agency of 
                                the United States, a State, or a 
                                political subdivision of a State; or
                                    ``(II) an intelligence agency of 
                                the United States;
                            ``(ii) a disclosure made reasonably and in 
                        good faith--
                                    ``(I) to a law enforcement officer 
                                or agency;
                                    ``(II) as part of a document 
                                production or filing associated with a 
                                legal proceeding;
                                    ``(III) as part of medical 
                                education, diagnosis, or treatment or 
                                for a legitimate medical, scientific, 
                                or education purpose;
                                    ``(IV) in the reporting of unlawful 
                                content or unsolicited or unwelcome 
                                conduct or in pursuance of a legal, 
                                professional, or other lawful 
                                obligation; or
                                    ``(V) to seek support or help with 
                                respect to the receipt of an 
                                unsolicited intimate visual depiction;
                            ``(iii) a disclosure reasonably intended to 
                        assist the identifiable individual; or
                            ``(iv) a person who possesses or publishes 
                        a digital forgery of himself or herself engaged 
                        in nudity or sexually explicit conduct (as that 
                        term is defined in section 2256(2)(A) of title 
                        18, United States Code).
            ``(4) Penalties.--
                    ``(A) Offenses involving adults.--Any person who 
                violates paragraph (2)(A) or (3)(A) shall be fined 
                under title 18, United States Code, imprisoned not more 
                than 2 years, or both.
                    ``(B) Offenses involving minors.--Any person who 
                violates paragraph (2)(B) or (3)(B) shall be fined 
                under title 18, United States Code, imprisoned not more 
                than 3 years, or both.
            ``(5) Rules of construction.--For purposes of paragraphs 
        (2) and (3)--
                    ``(A) the fact that the identifiable individual 
                provided consent for the creation of the intimate 
                visual depiction shall not establish that the 
                individual provided consent for the publication of the 
                intimate visual depiction; and
                    ``(B) the fact that the identifiable individual 
                disclosed the intimate visual depiction to another 
                individual shall not establish that the identifiable 
                individual provided consent for the publication of the 
                intimate visual depiction by the person alleged to have 
                violated paragraph (2) or (3), respectively.
            ``(6) Threats.--
                    ``(A) Threats involving authentic intimate visual 
                depictions.--Any person who intentionally threatens to 
                commit an offense under paragraph (2) for the purpose 
                of intimidation, coercion, extortion, or to create 
                mental distress shall be punished as provided in 
                paragraph (4).
                    ``(B) Threats involving digital forgeries.--
                            ``(i) Threats involving adults.--Any person 
                        who intentionally threatens to commit an 
                        offense under paragraph (3)(A) for the purpose 
                        of intimidation, coercion, extortion, or to 
                        create mental distress shall be fined under 
                        title 18, United States Code, imprisoned not 
                        more than 18 months, or both.
                            ``(ii) Threats involving minors.--Any 
                        person who intentionally threatens to commit an 
                        offense under paragraph (3)(B) for the purpose 
                        of intimidation, coercion, extortion, or to 
                        create mental distress shall be fined under 
                        title 18, United States Code, imprisoned not 
                        more than 30 months, or both.
            ``(7) Forfeiture.--
                    ``(A) In general.--The court, in imposing a 
                sentence on any person convicted of a violation of 
                paragraph (2) or (3), shall order, in addition to any 
                other sentence imposed and irrespective of any 
                provision of State law, that the person forfeit to the 
                United States--
                            ``(i) any material distributed in violation 
                        of that paragraph;
                            ``(ii) the person's interest in property, 
                        real or personal, constituting or derived from 
                        any gross proceeds of the violation, or any 
                        property traceable to such property, obtained 
                        or retained directly or indirectly as a result 
                        of the violation; and
                            ``(iii) any personal property of the person 
                        used, or intended to be used, in any manner or 
                        part, to commit or to facilitate the commission 
                        of the violation.
                    ``(B) Procedures.--Section 413 of the Controlled 
                Substances Act (21 U.S.C. 853), with the exception of 
                subsections (a) and (d), shall apply to the criminal 
                forfeiture of property under subparagraph (A).
            ``(8) Restitution.--The court shall order restitution for 
        an offense under paragraph (2) or (3) in the same manner as 
        under section 2264 of title 18, United States Code.
            ``(9) Rule of construction.--Nothing in this subsection 
        shall be construed to limit the application of any other 
        relevant law, including section 2252 of title 18, United States 
        Code.''.
    (b) Defenses.--Section 223(e)(1) of the Communications Act of 1934 
(47 U.S.C. 223(e)(1)) is amended by striking ``or (d)'' and inserting 
``, (d), or (h)''.
    (c) Technical and Conforming Amendment.--Subsection (i) of section 
223 of the Communications Act of 1934 (47 U.S.C. 223), as so 
redesignated by subsection (a), is amended by inserting 
``Definitions.--'' before ``For purposes of this section''.

SEC. 803. NOTICE AND REMOVAL OF NONCONSENSUAL INTIMATE VISUAL 
              DEPICTIONS.

    (a) In General.--
            (1) Notice and removal process.--
                    (A) Establishment.--Not later than 1 year after the 
                date of enactment of this Act, a covered platform shall 
                establish a process whereby an identifiable individual 
                (or an authorized person acting on behalf of such 
                individual) may--
                            (i) notify the covered platform of an 
                        intimate visual depiction published on the 
                        covered platform that--
                                    (I) includes a depiction of the 
                                identifiable individual; and
                                    (II) was published without the 
                                consent of the identifiable individual; 
                                and
                            (ii) submit a request for the covered 
                        platform to remove such intimate visual 
                        depiction.
                    (B) Requirements.--A notification and request for 
                removal of an intimate visual depiction submitted under 
                the process established under subparagraph (A) shall 
                include, in writing--
                            (i) a physical or electronic signature of 
                        the identifiable individual (or an authorized 
                        person acting on behalf of such individual);
                            (ii) an identification of, and information 
                        reasonably sufficient for the covered platform 
                        to locate, the intimate visual depiction of the 
                        identifiable individual;
                            (iii) a brief statement that the 
                        identifiable individual has a good faith belief 
                        that any intimate visual depiction identified 
                        under clause (ii) is not consensual, including 
                        any relevant information for the covered 
                        platform to determine the intimate visual 
                        depiction was published without the consent of 
                        the identifiable individual; and
                            (iv) information sufficient to enable the 
                        covered platform to contact the identifiable 
                        individual (or an authorized person acting on 
                        behalf of such individual).
            (2) Notice of process.--A covered platform shall provide on 
        the platform a clear and conspicuous notice, which may be 
        provided through a clear and conspicuous link to another web 
        page or disclosure, of the notice and removal process 
        established under paragraph (1)(A) that--
                    (A) is easy to read and in plain language; and
                    (B) provides information regarding the 
                responsibilities of the covered platform under this 
                section, including a description of how an individual 
                can submit a notification and request for removal.
            (3) Removal of nonconsensual intimate visual depictions.--
        Upon receiving a valid removal request from an identifiable 
        individual (or an authorized person acting on behalf of such 
        individual) using the process described in paragraph 
        (1)(A)(ii), a covered platform shall, as soon as possible, but 
        not later than 48 hours after receiving such request--
                    (A) remove the intimate visual depiction; and
                    (B) make reasonable efforts to identify and remove 
                any known identical copies of such depiction.
            (4) Limitation on liability.--A covered platform shall not 
        be liable for any claim based on the covered platform's good 
        faith disabling of access to, or removal of, material claimed 
        to be a nonconsensual intimate visual depiction based on facts 
        or circumstances from which the unlawful publishing of an 
        intimate visual depiction is apparent, regardless of whether 
        the intimate visual depiction is ultimately determined to be 
        unlawful or not.
    (b) Enforcement by the Commission.--
            (1) Unfair or deceptive acts or practices.--A failure to 
        reasonably comply with the notice and takedown obligations 
        under subsection (a) shall be treated as a violation of a rule 
        defining an unfair or a deceptive act or practice under section 
        18(a)(1)(B) of the Federal Trade Commission Act (15 U.S.C. 
        57a(a)(1)(B)).
            (2) Powers of the commission.--
                    (A) In general.--Except as provided in subparagraph 
                (D), the Commission shall enforce this section in the 
                same manner, by the same means, and with the same 
                jurisdiction, powers, and duties as though all 
                applicable terms and provisions of the Federal Trade 
                Commission Act (15 U.S.C. 41 et seq.) were incorporated 
                into and made a part of this section.
                    (B) Privileges and immunities.--Any person who 
                violates this section shall be subject to the penalties 
                and entitled to the privileges and immunities provided 
                in the Federal Trade Commission Act (15 U.S.C. 41 et 
                seq.).
                    (C) Authority preserved.--Nothing in this title 
                shall be construed to limit the authority of the 
                Federal Trade Commission under any other provision of 
                law.
                    (D) Scope of jurisdiction.--Notwithstanding 
                sections 4, 5(a)(2), or 6 of the Federal Trade 
                Commission Act (15 U.S.C. 44; 45(a)(2); 46), or any 
                jurisdictional limitation of the Commission, the 
                Commission shall also enforce this section in the same 
                manner provided in subparagraph (A), with respect to 
                organizations that are not organized to carry on 
                business for their own profit or that of their members.

SEC. 804. DEFINITIONS.

    In this title:
            (1) Commission.--The term ``Commission'' means the Federal 
        Trade Commission.
            (2) Consent; digital forgery; identifiable individual; 
        intimate visual depiction.--The terms ``consent'', ``digital 
        forgery'', ``identifiable individual'', ``intimate visual 
        depiction'', and ``minor'' have the meaning given such terms in 
        section 223(h) of the Communications Act of 1934 (47 U.S.C. 
        223(h)), as added by section 802.
            (3) Covered platform.--
                    (A) In general.--The term ``covered platform'' 
                means a website, online service, online application, or 
                mobile application--
                            (i) that serves the public; and
                            (ii)(I) that primarily provides a forum for 
                        user-generated content, including messages, 
                        videos, images, games, and audio files; or
                            (II) for which it is in the regular course 
                        of trade or business of the website, online 
                        service, online application, or mobile 
                        application to publish, curate, host, or make 
                        available content of nonconsensual intimate 
                        visual depictions.
                    (B) Exclusions.--The term ``covered platform'' 
                shall not include the following:
                            (i) A provider of broadband internet access 
                        service (as described in section 8.1(b) of 
                        title 47, Code of Federal Regulations, or 
                        successor regulation).
                            (ii) Electronic mail.
                            (iii) Except as provided in subparagraph 
                        (A)(ii)(II), an online service, application, or 
                        website--
                                    (I) that consists primarily of 
                                content that is not user generated but 
                                is preselected by the provider of such 
                                online service, application, or 
                                website; and
                                    (II) for which any chat, comment, 
                                or interactive functionality is 
                                incidental to, directly related to, or 
                                dependent on the provision of the 
                                content described in subparagraph 
                                (A)(ii)(I).

SEC. 805. SEVERABILITY.

    If any provision of this title, or an amendment made by this title, 
is determined to be unenforceable or invalid, the remaining provisions 
of this title and the amendments made by this title shall not be 
affected.

                TITLE IX--RURAL BROADBAND PROTECTION ACT

SEC. 901. SHORT TITLE.

    This title may be cited as the ``Rural Broadband Protection Act''.

SEC. 902. VETTING PROCESS FOR PROSPECTIVE HIGH-COST UNIVERSAL SERVICE 
              FUND APPLICANTS.

    Section 254 of the Communications Act of 1934 (47 U.S.C. 254) is 
amended by adding at the end the following:
    ``(m) Vetting of High-Cost Fund Recipients.--
            ``(1) Definitions.--In this subsection--
                    ``(A) the term `covered funding' means any new 
                offer of high-cost universal service program funding, 
                including funding provided through a reverse 
                competitive bidding mechanism provided under this 
                section, for the deployment of a broadband-capable 
                network and the provision of supported services over 
                the network; and
                    ``(B) the term `new covered funding award' means an 
                award of covered funding that is made based on an 
                application submitted to the Commission on or after the 
                date on which rules are promulgated under paragraph 
                (2).
            ``(2) Commission rulemaking.--Not later than 180 days after 
        the date of enactment of this subsection, the Commission shall 
        initiate a rulemaking proceeding to establish a vetting process 
        for applicants for, and other recipients of, a new covered 
        funding award.
            ``(3) Contents.--
                    ``(A) In general.--In promulgating rules under 
                paragraph (2), the Commission shall provide that, 
                consistent with principles of technology neutrality, 
                the Commission will only award covered funding to 
                applicants that can demonstrate that they meet the 
                qualifications in subparagraph (B).
                    ``(B) Qualifications described.--An applicant for a 
                new covered funding award shall include in the initial 
                application a proposal containing sufficient detail and 
                documentation for the Commission to ascertain that the 
                applicant possesses the technical, financial, and 
                operational capabilities, and has a reasonable business 
                plan, to deploy the proposed network and deliver 
                services with the relevant performance characteristics 
                and requirements defined by the Commission and as 
                pledged by the applicant.
                    ``(C) Evaluation of proposal.--The Commission shall 
                evaluate a proposal described in subparagraph (B) 
                against--
                            ``(i) reasonable and well-established 
                        technical, financial, and operational 
                        standards, including the technical standards 
                        adopted by the Commission in orders of the 
                        Commission relating to Establishing the Digital 
                        Opportunity Data Collection (WC Docket No. 19-
                        195) (or orders of the Commission relating to 
                        modernizing any successor collection) for 
                        purposes of entities that must report broadband 
                        availability coverage; and
                            ``(ii) the applicant's history of complying 
                        with requirements in Commission and other 
                        government broadband deployment funding 
                        programs.
                    ``(D) Penalties for pre-authorization defaults.--In 
                adopting rules for any new covered funding award, the 
                Commission shall set a penalty for pre-authorization 
                defaults of at least $9,000 per violation and may not 
                limit the base forfeiture to an amount less than 30 
                percent of the applicant's total support, unless the 
                Commission demonstrates the need for lower penalties in 
                a particular instance.''.

                    TITLE X--AMERICAN MUSIC TOURISM

SEC. 1001. SHORT TITLE.

    This title may be cited as the ``American Music Tourism Act''.

SEC. 1002. RESPONSIBILITIES OF THE ASSISTANT SECRETARY OF COMMERCE FOR 
              TRAVEL AND TOURISM.

    (a) Domestic Travel and Tourism.--Section 605(b) of the Visit 
America Act (15 U.S.C. 9803(b)) is amended--
            (1) in paragraph (2), by striking ``; and'' and inserting a 
        semicolon;
            (2) in paragraph (3), by striking the period at the end and 
        inserting ``; and''; and
            (3) by adding at the end the following:
            ``(4) identify locations and events in the United States 
        that are important to music tourism and facilitate and promote 
        domestic travel and tourism to those locations and events.''.
    (b) Facilitation of International Business and Leisure Travel.--
Section 605 of the Visit America Act (15 U.S.C. 9803) is amended by 
striking subsection (d) and inserting the following:
    ``(d) Facilitation of International Business and Leisure Travel.--
The Assistant Secretary, in coordination with relevant Federal 
agencies, shall strive to increase and facilitate international 
business and leisure travel to the United States and ensure 
competitiveness by--
            ``(1) facilitating large meetings, incentives, conferences, 
        and exhibitions in the United States;
            ``(2) emphasizing rural and other destinations in the 
        United States that are rich in cultural heritage or ecological 
        tourism, among other uniquely American destinations, as 
        locations for hosting international meetings, incentives, 
        conferences, and exhibitions;
            ``(3) facilitating and promoting international travel and 
        tourism to sports and recreation events and activities in the 
        United States; and
            ``(4) identifying locations and events in the United States 
        that are important to music tourism and facilitating and 
        promoting international travel and tourism to those locations 
        and events.''.
    (c) Reporting Requirements.--Section 605(f) of the Visit America 
Act (15 U.S.C. 9803(f)) is amended by adding at the end the following:
            ``(4) Report on goals relating to domestic and 
        international travel.--Not later than 1 year after the date of 
        enactment of the American Music Tourism Act, and every 2 years 
        thereafter, the Assistant Secretary shall submit to the 
        Subcommittee on Tourism, Trade, and Export Promotion of the 
        Committee on Commerce, Science, and Transportation of the 
        Senate and the Subcommittee on Innovation, Data, and Commerce 
        of the Committee on Energy and Commerce of the House of 
        Representatives a report of activities, findings, achievements, 
        and vulnerabilities relating to the goals described in 
        subsections (a) through (d).''.
    (d) Definition.--Section 600 of title VI of division BB of the 
Consolidated Appropriations Act, 2023 (15 U.S.C. 9801) is amended--
            (1) by redesignating paragraphs (1) and (2) as 
        subparagraphs (A) and (B), respectively, and adjusting the 
        margins accordingly; and
            (2) by striking ``In this title, the term `COVID-19 public 
        health emergency'--'' and inserting the following:
    ``In this title:
            ``(1) COVID-19 public health emergency.--The term `COVID-19 
        public health emergency'--''; and
            (3) by adding at the end the following:
            ``(2) Music tourism.--The term `music tourism' means--
                    ``(A) the act of traveling to a State or locality 
                to visit historic or modern day music-related 
                attractions, including museums, studios, venues of all 
                sizes, and other sites related to music; or
                    ``(B) the act of traveling to a State or locality 
                to attend a music festival, a concert, or other live 
                musical performance or music-related special event.''.

           TITLE XI--INFORMING CONSUMERS ABOUT SMART DEVICES

SEC. 1101. SHORT TITLE.

    This title may be cited as the ``Informing Consumers about Smart 
Devices Act''.

SEC. 1102. REQUIRED DISCLOSURE OF A CAMERA OR RECORDING CAPABILITY IN 
              CERTAIN INTERNET-CONNECTED DEVICES.

    Each manufacturer of a covered device shall disclose, clearly and 
conspicuously and prior to purchase, whether the covered device 
manufactured by the manufacturer contains a camera or microphone as a 
component of the covered device.

SEC. 1103. ENFORCEMENT BY THE FEDERAL TRADE COMMISSION.

    (a) Unfair or Deceptive Acts or Practices.--A violation of section 
1102 shall be treated as a violation of a rule defining an unfair or 
deceptive act or practice prescribed under section 18(a)(1)(B) of the 
Federal Trade Commission Act (15 U.S.C. 57a(a)(1)(B)).
    (b) Actions by the Commission.--
            (1) In general.--The Federal Trade Commission (in this 
        title referred to as the ``Commission'') shall enforce this 
        title in the same manner, by the same means, and with the same 
        jurisdiction, powers, and duties as though all applicable terms 
        and provisions of the Federal Trade Commission Act (15 U.S.C. 
        41 et seq.) were incorporated into and made a part of this 
        title.
            (2) Penalties and privileges.--Any person who violates this 
        title or a regulation promulgated under this title shall be 
        subject to the penalties and entitled to the privileges and 
        immunities provided in the Federal Trade Commission Act (15 
        U.S.C. 41 et seq.).
            (3) Savings clause.--Nothing in this title shall be 
        construed to limit the authority of the Commission under any 
        other provision of law.
    (c) Commission Guidance.--Not later than 180 days after the date of 
enactment of this title, the Commission, through outreach to relevant 
private entities, shall issue guidance to assist manufacturers in 
complying with the requirements of this title, including guidance about 
best practices for making the disclosure required by section 1102 as 
clear and conspicuous and age appropriate as practicable and about best 
practices for the use of a pictorial (as defined in section 2(a) of the 
Consumer Review Fairness Act of 2016 (15 U.S.C. 45b(a))) visual 
representation of the information to be disclosed.
    (d) Tailored Guidance.--A manufacturer of a covered device may 
petition the Commission for tailored guidance as to how to meet the 
requirements of section 1102 consistent with existing rules of practice 
or any successor rules.
    (e) Limitation on Commission Guidance.--No guidance issued by the 
Commission with respect to this title shall confer any rights on any 
person, State, or locality, nor shall operate to bind the Commission or 
any person to the approach recommended in such guidance. In any 
enforcement action brought pursuant to this title, the Commission shall 
allege a specific violation of a provision of this title. The 
Commission may not base an enforcement action on, or execute a consent 
order based on, practices that are alleged to be inconsistent with any 
such guidelines, unless the practices allegedly violate section 1102.

SEC. 1104. DEFINITION OF COVERED DEVICE.

    As used in this title, the term ``covered device''--
            (1) means a consumer product, as defined by section 3(a) of 
        the Consumer Product Safety Act (15 U.S.C. 2052(a)) that is 
        capable of connecting to the internet, a component of which is 
        a camera or microphone; and
            (2) does not include--
                    (A) a telephone (including a mobile phone), a 
                laptop, tablet, or any device that a consumer would 
                reasonably expect to have a microphone or camera;
                    (B) any device that is specifically marketed as a 
                camera, telecommunications device, or microphone; or
                    (C) any device or apparatus described in sections 
                255, 716, and 718, and subsections (aa) and (bb) of 
                section 303 of the Communications Act of 1934 (47 
                U.S.C. 255; 617; 619; and 303(aa) and (bb)), and any 
                regulations promulgated thereunder.

SEC. 1105. EFFECTIVE DATE.

    This title shall apply to all covered devices manufactured after 
the date that is 180 days after the date on which guidance is issued by 
the Commission under section 1103(c), and shall not apply to covered 
devices manufactured or sold before such date, or otherwise introduced 
into interstate commerce before such date.

          TITLE XII--SECURING SEMICONDUCTOR SUPPLY CHAINS ACT

SEC. 1201. SHORT TITLE.

    This title may be cited as the ``Securing Semiconductor Supply 
Chains Act''.

SEC. 1202. SELECTUSA DEFINED.

    In this title, the term ``SelectUSA'' means the SelectUSA program 
of the Department of Commerce established by Executive Order 13577 (76 
Fed. Reg. 35715; relating to establishment of the SelectUSA 
Initiative).

SEC. 1203. FINDINGS.

    Congress makes the following findings:
            (1) Semiconductors underpin the United States and global 
        economies, including manufacturing sectors. Semiconductors are 
        also essential to the national security of the United States.
            (2) A shortage of semiconductors, brought about by the 
        COVID-19 pandemic and other complex factors impacting the 
        overall supply chain, has threatened the economic recovery of 
        the United States and industries that employ millions of United 
        States citizens.
            (3) Addressing current challenges and building resilience 
        against future risks requires ensuring a secure and stable 
        supply chain for semiconductors that will support the economic 
        and national security needs of the United States and its 
        allies.
            (4) The supply chain for semiconductors is complex and 
        global. While the United States plays a leading role in certain 
        segments of the semiconductor industry, securing the supply 
        chain requires onshoring, reshoring, or diversifying vulnerable 
        segments, such as for--
                    (A) fabrication;
                    (B) advanced packaging; and
                    (C) materials and equipment used to manufacture 
                semiconductor products.
            (5) The Federal Government can leverage foreign direct 
        investment and private dollars to grow the domestic 
        manufacturing and production capacity of the United States for 
        vulnerable segments of the semiconductor supply chain.
            (6) The SelectUSA program of the Department of Commerce, in 
        coordination with other Federal agencies and State-level 
        economic development organizations, is positioned to boost 
        foreign direct investment in domestic manufacturing and to help 
        secure the semiconductor supply chain of the United States.

SEC. 1204. COORDINATION WITH STATE-LEVEL ECONOMIC DEVELOPMENT 
              ORGANIZATIONS.

    Not later than 180 days after the date of the enactment of this 
Act, the Executive Director of SelectUSA shall solicit comments from 
State-level economic development organizations--
            (1) to review--
                    (A) what efforts the Federal Government can take to 
                support increased foreign direct investment in any 
                segment of semiconductor-related production;
                    (B) what barriers to such investment may exist and 
                how to amplify State efforts to attract such 
                investment;
                    (C) public opportunities those organizations have 
                identified to attract foreign direct investment to help 
                increase investment described in subparagraph (A); and
                    (D) resource gaps or other challenges that prevent 
                those organizations from increasing such investment; 
                and
            (2) to develop recommendations for--
                    (A) how SelectUSA can increase such investment 
                independently or through partnership with those 
                organizations; and
                    (B) working with countries that are allies or 
                partners of the United States to ensure that foreign 
                adversaries (as defined in section 8(c)(2) of the 
                Secure and Trusted Communications Networks Act of 2019 
                (47 U.S.C. 1607(c)(2))) do not benefit from United 
                States efforts to increase such investment.

SEC. 1205. REPORT ON INCREASING FOREIGN DIRECT INVESTMENT IN 
              SEMICONDUCTOR-RELATED MANUFACTURING AND PRODUCTION.

    Not later than 2 years after the date of the enactment of this Act, 
the Executive Director of SelectUSA, in coordination with the Federal 
Interagency Investment Working Group established by Executive Order 
13577 (76 Fed. Reg. 35715; relating to establishment of the SelectUSA 
Initiative), shall submit to the Committee on Commerce, Science, and 
Transportation of the Senate and the Committee on Energy and Commerce 
of the House of Representatives a report that includes--
            (1) a review of the comments SelectUSA received from State-
        level economic development organizations under section 1204;
            (2) a description of activities SelectUSA is engaged in to 
        increase foreign direct investment in semiconductor-related 
        manufacturing and production; and
            (3) an assessment of strategies SelectUSA may implement to 
        achieve an increase in such investment and to help secure the 
        United States supply chain for semiconductors, including by--
                    (A) working with other relevant Federal agencies; 
                and
                    (B) working with State-level economic development 
                organizations and implementing any strategies or 
                recommendations SelectUSA received from those 
                organizations.

SEC. 1206. NO ADDITIONAL FUNDS.

    No additional funds are authorized to be appropriated for the 
purpose of carrying out this title. The Executive Director of SelectUSA 
shall carry out this title using amounts otherwise available to the 
Executive Director for such purposes.

                TITLE XIII--HOTEL FEES TRANSPARENCY ACT

SEC. 1301. SHORT TITLE.

    This title may be cited as the ``Hotel Fees Transparency Act''.

SEC. 1302. PROHIBITION ON UNFAIR AND DECEPTIVE ADVERTISING OF HOTEL 
              ROOMS AND OTHER SHORT-TERM RENTAL PRICES.

    (a) Prohibition.--
            (1) In general.--It shall be unlawful for a covered entity 
        to display, advertise, market, or offer in interstate commerce, 
        including through direct offerings, third-party distribution, 
        or metasearch referrals, a price for covered services that does 
        not clearly, conspicuously, and prominently--
                    (A) display the total services price, if a price is 
                displayed, in any advertisement, marketing, or price 
                list wherever the covered services are displayed, 
                advertised, marketed, or offered for sale;
                    (B) disclose to any individual who seeks to 
                purchase covered services the total services price at 
                the time the covered services are first displayed to 
                the individual and anytime thereafter throughout the 
                covered services purchasing process; and
                    (C) disclose, prior to the final purchase, any tax, 
                fee, or assessment imposed by any government entity, 
                quasi-government entity, or government-created special 
                district or program on the sale of covered services.
            (2) Individual components.--Provided that such displays are 
        less prominent than the total service price required in 
        paragraph (1), nothing in this Act shall be construed to 
        prohibit the display of--
                    (A) individual components of the total price; or
                    (B) details of other items not required by 
                paragraph (1).
            (3) Indemnification provisions.--Nothing in this section 
        shall be construed to prohibit any covered entity from entering 
        into a contract with any other covered entity that contains an 
        indemnification provision with respect to price or fee 
        information disclosed, exchanged, or shared between the covered 
        entities that are parties to the contract.
    (b) Enforcement.--
            (1) Enforcement by the commission.--
                    (A) Unfair or deceptive acts or practices.--A 
                violation of subsection (a) shall be treated as a 
                violation of a rule defining an unfair or deceptive act 
                or practice prescribed under section 18(a)(1)(B) of the 
                Federal Trade Commission Act (15 U.S.C. 57a(a)(1)(B)).
                    (B) Powers of the commission.--
                            (i) In general.--The Commission shall 
                        enforce this section in the same manner, by the 
                        same means, and with the same jurisdiction, 
                        powers, and duties as though all applicable 
                        terms and provisions of the Federal Trade 
                        Commission Act (15 U.S.C. 41 et seq.) were 
                        incorporated into and made a part of this Act.
                            (ii) Privileges and immunities.--Any person 
                        who violates this section shall be subject to 
                        the penalties and entitled to the privileges 
                        and immunities provided in the Federal Trade 
                        Commission Act (15 U.S.C. 41 et seq.).
                            (iii) Authority preserved.--Nothing in this 
                        section shall be construed to limit the 
                        authority of the Commission under any other 
                        provision of law.
            (2) Enforcement by states.--
                    (A) In general.--If the attorney general of a State 
                has reason to believe that an interest of the residents 
                of the State has been or is being threatened or 
                adversely affected by a practice that violates 
                subsection (a), the attorney general of the State may, 
                as parens patriae, bring a civil action on behalf of 
                the residents of the State in an appropriate district 
                court of the United States to obtain appropriate 
                relief.
                    (B) Rights of the commission.--
                            (i) Notice to the commission.--
                                    (I) In general.--Except as provided 
                                in subclause (III), the attorney 
                                general of a State, before initiating a 
                                civil action under subparagraph (A) 
                                shall notify the Commission in writing 
                                that the attorney general intends to 
                                bring such civil action.
                                    (II) Contents.--The notification 
                                required by subclause (I) shall include 
                                a copy of the complaint to be filed to 
                                initiate the civil action.
                                    (III) Exception.--If it is not 
                                feasible for the attorney general of a 
                                State to provide the notification 
                                required by subclause (I) before 
                                initiating a civil action under 
                                subparagraph (A), the attorney general 
                                shall notify the Commission immediately 
                                upon instituting the civil action.
                            (ii) Intervention by the commission.--The 
                        Commission may--
                                    (I) intervene in any civil action 
                                brought by the attorney general of a 
                                State under subparagraph (A); and
                                    (II) upon intervening--
                                            (aa) be heard on all 
                                        matters arising in the civil 
                                        action; and
                                            (bb) file petitions for 
                                        appeal.
                    (C) Investigatory powers.--Nothing in this 
                paragraph may be construed to prevent the attorney 
                general of a State from exercising the powers conferred 
                on the attorney general by the laws of the State to 
                conduct investigations, to administer oaths or 
                affirmations, or to compel the attendance of witnesses 
                or the production of documentary or other evidence.
                    (D) Action by the commission.--Whenever a civil 
                action has been instituted by or on behalf of the 
                Commission for violation of subsection (a), no attorney 
                general of a State may, during the pendency of that 
                action, institute an action under subparagraph (A) 
                against any defendant named in the complaint in that 
                action for a violation of subsection (a) alleged in 
                such complaint.
                    (E) Venue; service of process.--
                            (i) Venue.--Any action brought under 
                        subparagraph (A) may be brought in--
                                    (I) the district court of the 
                                United States that meets applicable 
                                requirements relating to venue under 
                                section 1391 of title 28, United States 
                                Code; or
                                    (II) another court of competent 
                                jurisdiction.
                            (ii) Service of process.--In an action 
                        brought under subparagraph (A), process may be 
                        served in any district in which--
                                    (I) the defendant is an inhabitant, 
                                may be found, or transacts business; or
                                    (II) venue is proper under section 
                                1391 of title 28, United States Code.
                    (F) Actions by other state officials.--
                            (i) In general.--In addition to civil 
                        actions brought by an attorney general under 
                        subparagraph (A), any other officer of a State 
                        who is authorized by the State to do so may 
                        bring a civil action under subparagraph (A), 
                        subject to the same requirements and 
                        limitations that apply under this paragraph to 
                        civil actions brought by attorneys general.
                            (ii) Savings provision.--Nothing in this 
                        paragraph may be construed to prohibit an 
                        authorized official of a State from initiating 
                        or continuing any proceeding in a court of the 
                        State for a violation of any civil or criminal 
                        law of the State.
            (3) Affirmative defense.--In any action pursuant to 
        paragraph (1) or (2), an intermediary or third-party online 
        seller may assert an affirmative defense if such intermediary 
        or third-party online seller--
                    (A) established procedures to receive up-to-date 
                price information from hotels or short-term rentals, or 
                agents acting on behalf of a hotel or short-term 
                rental;
                    (B) relied in good faith on information provided to 
                the intermediary or third-party online seller by a 
                hotel or short-term rental, or agent acting on behalf 
                of such hotel or short-term rental, and such 
                information was inaccurate at the time it was provided 
                to the intermediary or third-party online seller; and
                    (C) took prompt action to remove or correct any 
                false or inaccurate information about the total 
                services price after receiving notice that such 
                information was false or inaccurate.
    (c) Preemption.--
            (1) In general.--A State, or political subdivision of a 
        State, may not maintain, enforce, prescribe, or continue in 
        effect any law, rule, regulation, requirement, standard, or 
        other provision having the force and effect of law of the 
        State, or political subdivision of the State, that prohibits a 
        covered entity from advertising, displaying, marketing, or 
        otherwise offering, or otherwise affects the manner in which a 
        covered entity may advertise, display, market, or otherwise 
        offer, for sale in interstate commerce, including through a 
        direct offering, third-party distribution, or metasearch 
        referral, a price of a reservation for a covered service, and 
        that requires fee disclosure, unless the law requires the total 
        services price to include each service fee, as defined in 
        subsection (d)(8), and in accordance with subsection (a)(1).
            (2) Rule of construction.--This section may not be 
        construed to--
                    (A) preempt any law of a State or political 
                subdivision of a State relating to contracts or torts; 
                or
                    (B) preempt any law of a State or political 
                subdivision of a State to the extent that such law 
                relates to an act of fraud, unauthorized access to 
                personal information, or notification of unauthorized 
                access to personal information.
    (d) Definitions.--In this Act:
            (1) Base services price.--The term ``base services price'' 
        --
                    (A) means, with respect to the covered services 
                provided by a hotel or short-term rental, the price in 
                order to obtain the covered services of the hotel or 
                short-term rental; and
                    (B) does not include--
                            (i) any service fee;
                            (ii) any taxes or fees imposed by a 
                        government or quasi-government entity;
                            (iii) assessment fees of a government-
                        created special district or program; or
                            (iv) any charges or fees for an optional 
                        product or service associated with the covered 
                        services that may be selected by a purchaser of 
                        covered services.
            (2) Commission.--The term ``Commission'' means the Federal 
        Trade Commission.
            (3) Covered entity.--The term ``covered entity'' means a 
        person, partnership, or corporation with respect to whom the 
        Commission has jurisdiction under section 5(a)(2) of the 
        Federal Trade Commission Act (15 U.S.C. 45(a)(2)), including--
                    (A) a hotel or short-term rental;
                    (B) a third-party online seller; or
                    (C) an intermediary.
            (4) Covered services.--The term ``covered services''--
                    (A) means the temporary provision of a room, 
                building, or other lodging facility; and
                    (B) does not include the provision of a meeting 
                room, banquet services, or catering services.
            (5) Hotel.--The term ``hotel'' means an establishment that 
        is--
                    (A) primarily engaged in providing a covered 
                service to the general public; and
                    (B) promoted, advertised, or marketed in interstate 
                commerce or for which such establishment's services are 
                sold in interstate commerce.
            (6) Intermediary.--The term ``intermediary'' means an 
        entity that operates either as a business-to-business platform, 
        consumer-facing platform, or both, that displays, including 
        through direct offerings, third-party distribution, or 
        metasearch referral, a price for covered services or price 
        comparison tools for consumers seeking covered services.
            (7) Optional product or service.--The term ``optional 
        product or service'' means a product or service that an 
        individual does not need to purchase to use or obtain covered 
        services.
            (8) Service fee.--The term ``service fee''--
                    (A) means a charge imposed by a covered entity that 
                must be paid in order to obtain covered services; and
                    (B) does not include--
                            (i) any taxes or fees imposed by a 
                        government or quasi-government entity;
                            (ii) any assessment fees of a government-
                        created special district or program; or
                            (iii) any charges or fees for an optional 
                        product or service associated with the covered 
                        services that may be selected by a purchaser of 
                        covered services.
            (9) Short-term rental.--The term ``short-term rental'' 
        means a property, including a single-family dwelling or a unit 
        in a condominium, cooperative, or time-share, that provides 
        covered services (either with respect to the entire property or 
        a part of the property) to the general public--
                    (A) in exchange for a fee;
                    (B) for periods shorter than 30 consecutive days; 
                and
                    (C) is promoted, advertised, or marketed in 
                interstate commerce or for which such property's 
                services are sold in interstate commerce.
            (10) State.--The term ``State'' means each of the 50 
        States, the District of Columbia, and any territory or 
        possession of the United States.
            (11) Third-party online seller.--The term ``third-party 
        online seller'' means any person other than a hotel or short-
        term rental that sells covered services or offers for sale 
        covered services with respect to a hotel or short-term rental 
        in a transaction facilitated on the internet.
            (12) Total services price.--The term ``total services''--
                    (A) means, with respect to covered services, the 
                total cost of the covered services, including the base 
                services price and any service fees; and
                    (B) does not include--
                            (i) any taxes or fees imposed by a 
                        government or quasi-government entity;
                            (ii) any assessment fees of a government-
                        created special district or program; or
                            (iii) any charges or fees for an optional 
                        product or service associated with the covered 
                        services that may be selected by a purchaser of 
                        covered services.
    (e) Effective Date.--The prohibition under subsection (a) shall 
take effect 450 days after the date of the enactment of this Act and 
shall apply to advertisements, displays, marketing, and offers of 
covered services of a covered entity made on or after such date.

      TITLE XIV--TRANSPARENCY IN CHARGES FOR KEY EVENTS TICKETING

SEC. 1401. SHORT TITLE.

    This title may be cited as the ``Transparency In Charges for Key 
Events Ticketing Act'' or the ``TICKET Act''.

SEC. 1402. ALL INCLUSIVE TICKET PRICE DISCLOSURE.

    Beginning 180 days after the date of the enactment of this Act, it 
shall be unlawful for a ticket issuer, secondary market ticket issuer, 
or secondary market ticket exchange to offer for sale an event ticket 
unless the ticket issuer, secondary market ticket issuer, or secondary 
market ticket exchange--
            (1) clearly and conspicuously displays the total event 
        ticket price, if a price is displayed, in any advertisement, 
        marketing, or price list wherever the ticket is offered for 
        sale;
            (2) clearly and conspicuously discloses to any individual 
        who seeks to purchase an event ticket the total event ticket 
        price at the time the ticket is first displayed to the 
        individual and anytime thereafter throughout the ticket 
        purchasing process; and
            (3) provides an itemized list of the base event ticket 
        price and each event ticket fee prior to the completion of the 
        ticket purchasing process.

SEC. 1403. SPECULATIVE TICKETING BAN.

    (a) Prohibition.--Beginning 180 days after the date of the 
enactment of this Act, a ticket issuer, secondary market ticket issuer, 
or secondary market ticket exchange that does not have actual or 
constructive possession of an event ticket shall not sell, offer for 
sale, or advertise for sale such event ticket.
    (b) Services Permitted.--Notwithstanding subsection (a), a 
secondary market ticket issuer or secondary market ticket exchange may 
sell, offer for sale, or advertise for sale a service to an individual 
to obtain an event ticket on behalf of such individual if the secondary 
market ticket issuer or secondary market ticket exchange complies with 
the following:
            (1) Does not market or list the service as an event ticket.
            (2) Maintains a clear, distinct, and easily discernible 
        separation between the service and event tickets that persists 
        throughout the entire service selection and purchasing process.
            (3) Clearly and conspicuously discloses before selection of 
        the service that the service is not an event ticket and that 
        the purchase of the service does not guarantee an event ticket.

SEC. 1404. DISCLOSURES.

    A ticket issuer, secondary market ticket issuer, or secondary 
market ticket exchange--
            (1) if offering an event ticket for resale, shall provide a 
        clear and conspicuous statement, before a consumer purchases 
        the event ticket from the ticket issuer, secondary market 
        ticket issuer, or secondary market ticket exchange, that the 
        issuer or exchange is engaged in the secondary sale of event 
        tickets; and
            (2) shall not state that the ticket issuer, secondary 
        market ticket issuer, or secondary market ticket exchange is 
        affiliated with or endorsed by a venue, team, or artist, as 
        applicable, including by using words like ``official'' in 
        promotional materials, social media promotions, or paid 
        advertising, unless a partnership agreement has been executed 
        or the issuer or exchange has the express written consent of 
        the venue, team, or artist, as applicable.

SEC. 1405. REFUND REQUIREMENTS.

    (a) Cancellation.--Beginning 180 days after the date of the 
enactment of this Act, if an event is canceled or postponed (except for 
a case in which an event is canceled or postponed due to a cause beyond 
the reasonable control of the issuer, including a natural disaster, 
civil disturbance, or otherwise unforeseeable impediment), a ticket 
issuer, secondary market ticket issuer, or secondary market ticket 
exchange shall provide the purchaser of an event ticket from the issuer 
or exchange for the canceled or postponed event, at a minimum--
            (1) if the event is cancelled, a full refund for the total 
        event ticket price;
            (2) subject to availability, if the event is postponed for 
        not more than 6 months and the original event ticket is no 
        longer valid for entry to the rescheduled event, a replacement 
        event ticket for the rescheduled event in the same or a 
        comparable location once the event has been rescheduled; or
            (3) if the event is postponed for more than 6 months, at 
        the option of the purchaser--
                    (A) a full refund for the total event ticket price; 
                or
                    (B) if the original event ticket is no longer valid 
                for entry to the rescheduled event, a replacement event 
                ticket for the rescheduled event in the same or a 
                comparable location once the event has been 
                rescheduled.
    (b) Disclosure of Guarantee and Refund Policy Required.--Beginning 
180 days after the date of the enactment of this Act, a ticket issuer, 
secondary market ticket issuer, or secondary market ticket exchange 
shall disclose clearly and conspicuously to a purchaser before the 
completion of an event ticket sale the guarantee or refund policy of 
such ticket issuer, secondary market ticket issuer, or secondary market 
ticket exchange, including under what circumstances any refund issued 
will include a refund of any event ticket fee.
    (c) Disclosure of How To Obtain a Refund Required.--Beginning 180 
days after the date of the enactment of this Act, a ticket issuer, 
secondary market ticket issuer, or secondary market ticket exchange 
shall provide a clear and conspicuous explanation of how to obtain a 
refund of the total event ticket price.

SEC. 1406. REPORT BY THE FEDERAL TRADE COMMISSION ON BOTS ACT OF 2016 
              ENFORCEMENT.

    Not later than 6 months after the date of the enactment of this 
Act, the Commission shall submit to Congress a report on enforcement of 
the Better Online Ticket Sales Act of 2016 (Public Law 114-274; 15 
U.S.C. 45c), including any enforcement action taken, challenges with 
enforcement and coordination with State Attorneys General, and 
recommendations on how to improve enforcement and industry compliance.

SEC. 1407. ENFORCEMENT.

    (a) Unfair or Deceptive Act or Practice.--A violation of this title 
shall be treated as a violation of a rule defining an unfair or 
deceptive act or practice under section 18(a)(1)(B) of the Federal 
Trade Commission Act (15 U.S.C. 57a(a)(1)(B)).
    (b) Powers of Commission.--
            (1) In general.--The Commission shall enforce this title in 
        the same manner, by the same means, and with the same 
        jurisdiction, powers, and duties as though all applicable terms 
        and provisions of the Federal Trade Commission Act (15 U.S.C. 
        41 et seq.) were incorporated into and made a part of this 
        title.
            (2) Privileges and immunities.--Any person who violates 
        this title shall be subject to the penalties and entitled to 
        the privileges and immunities provided in the Federal Trade 
        Commission Act (15 U.S.C. 41 et seq.).
            (3) Authority preserved.--Nothing in this title shall be 
        construed to limit the authority of the Commission under any 
        other provision of law.

SEC. 1408. DEFINITIONS.

    In this title:
            (1) Artist.--The term ``artist'' means any performer, 
        musician, comedian, producer, ensemble or production entity of 
        a theatrical production, sports team owner, or similar person.
            (2) Base event ticket price.--The term ``base event ticket 
        price'' means, with respect to an event ticket, the price of 
        the event ticket excluding the cost of any event ticket fees.
            (3) Commission.--The term ``Commission'' means the Federal 
        Trade Commission.
            (4) Event.--The term ``event'' means any live concert, 
        theatrical performance, sporting event, show, or similarly 
        scheduled live activity, that is--
                    (A) taking place in a venue with a seating or 
                attendance capacity exceeding 200 persons;
                    (B) open to the general public; and
                    (C) promoted, advertised, or marketed in interstate 
                commerce, or for which event tickets are generally sold 
                or distributed in interstate commerce.
            (5) Event ticket; ticket issuer.--The terms ``event 
        ticket'' and ``ticket issuer'' have the meaning given those 
        terms in section 3 of the Better Online Ticket Sales Act of 
        2016 (15 U.S.C. 45c note).
            (6) Event ticket fee.--The term ``event ticket fee''--
                    (A) means a charge for an event ticket that must be 
                paid in addition to the base event ticket price in 
                order to obtain an event ticket from a ticket issuer, 
                secondary market ticket issuer, or secondary market 
                ticket exchange, including any service fee, charge and 
                order processing fee, delivery fee, facility charge 
                fee, tax, and any other charge; and
                    (B) does not include any charge or fee for an 
                optional product or service associated with the event 
                that may be selected by a purchaser of an event ticket.
            (7) Optional product or service.--The term ``optional 
        product or service'' means a product or service that an 
        individual does not need to purchase to use or take possession 
        of an event ticket.
            (8) Resale; secondary sale.--The terms ``resale'' and 
        ``secondary sale'' mean any sale of an event ticket that occurs 
        after the initial sale of the event ticket by a ticket issuer.
            (9) Secondary market ticket exchange.--The term ``secondary 
        market ticket exchange'' means any person that in the regular 
        course of trade or business of that person operates a platform 
        or exchange for advertising, listing, or selling resale 
        tickets, on behalf of itself, vendors, or a secondary market 
        ticket issuer.
            (10) Secondary market ticket issuer.--The term ``secondary 
        market ticket issuer'' means any person, including a ticket 
        issuer, that resells or makes a secondary sale of an event 
        ticket to the general public in the regular course of the trade 
        or business of the person.
            (11) Total event ticket price.--The term ``total event 
        ticket price'' means, with respect to an event ticket, the 
        total cost of the event ticket, including the base event ticket 
        price and any event ticket fee.
            (12) Venue.--The term ``venue'' means a physical space at 
        which an event takes place.

                         TITLE XV--ROUTERS ACT

SEC. 1501. SHORT TITLE.

    This title may be cited as the ``Removing Our Unsecure Technologies 
to Ensure Reliability and Security Act'' or the ``ROUTERS Act''.

SEC. 1502. STUDY OF NATIONAL SECURITY RISKS POSED BY CERTAIN ROUTERS 
              AND MODEMS.

    (a) In General.--The Secretary shall conduct a study of the 
national security risks posed by consumer routers, modems, and devices 
that combine a modem and router that are designed, developed, 
manufactured, or supplied by persons owned by, controlled by, or 
subject to the influence of a covered country.
    (b) Report to Congress.--Not later than 1 year after the date of 
the enactment of this Act, the Secretary shall submit to the Committee 
on Energy and Commerce of the House of Representatives and the 
Committee on Commerce, Science, and Transportation of the Senate a 
report on the results of the study conducted under subsection (a).
    (c) Definitions.--In this section:
            (1) Covered country.--The term ``covered country'' means a 
        country specified in section 4872(f)(2) of title 10, United 
        States Code.
            (2) Secretary.--The term ``Secretary'' means the Secretary 
        of Commerce, in consultation with the Assistant Secretary of 
        Commerce for Communications and Information.

                    TITLE XVI--NTIA REAUTHORIZATION

SEC. 1601. SHORT TITLE.

    This title may be cited as the ``National Telecommunications and 
Information Administration Reauthorization Act'' or the ``NTIA 
Reauthorization Act''.

SEC. 1602. DEFINITIONS.

    In this title:
            (1) Commission.--The term ``Commission'' means the Federal 
        Communications Commission.
            (2) NTIA.--The term ``NTIA'' means the National 
        Telecommunications and Information Administration.
            (3) Under secretary.--The term ``Under Secretary'' means 
        the Under Secretary of Commerce for Communications and 
        Information.

                      Subtitle A--Reauthorization

SEC. 1611. REAUTHORIZATION OF THE NATIONAL TELECOMMUNICATIONS AND 
              INFORMATION ADMINISTRATION ORGANIZATION ACT.

    (a) Authorization of Appropriations.--Section 151 of the National 
Telecommunications and Information Administration Organization Act is 
amended by striking ``$17,600,000 for fiscal year 1992 and $17,900,000 
for fiscal year 1993'' and inserting ``$57,000,000 for fiscal year 2025 
and $57,000,000 for fiscal year 2026''.
    (b) Under Secretary of Commerce for Communications and 
Information.--
            (1) Under secretary; deputy under secretary.--
                    (A) Under secretary.--The National 
                Telecommunications and Information Administration 
                Organization Act (47 U.S.C. 901 et seq.) is amended by 
                striking ``Assistant Secretary'' each place it appears 
                and inserting ``Under Secretary''.
                    (B) Deputy under secretary.--Section 103(a) of the 
                National Telecommunications and Information 
                Administration Organization Act (47 U.S.C. 902(a)), as 
                amended by this section, is amended by adding at the 
                end the following:
            ``(3) Deputy under secretary.--The Deputy Under Secretary 
        of Commerce for Communications and Information shall--
                    ``(A) be the principal policy advisor of the Under 
                Secretary;
                    ``(B) perform such other functions as the Under 
                Secretary shall from time to time assign or delegate; 
                and
                    ``(C) act as Under Secretary during the absence or 
                disability of the Under Secretary or in the event of a 
                vacancy in the office of the Under Secretary.''.
            (2) Continuation of civil actions.--This subsection, and 
        the amendments made by this subsection, shall not abate any 
        civil action commenced by or against the Assistant Secretary of 
        Commerce for Communications and Information before the date of 
        the enactment of this Act, except that the Under Secretary 
        shall be substituted as a party to the action on and after such 
        date.
            (3) Continuation in office.--The individual serving as the 
        Assistant Secretary of Commerce for Communications and 
        Information and the individual serving as the Deputy Assistant 
        Secretary of Commerce for Communications and Information on the 
        day before the date of the enactment of this Act may serve as 
        the Under Secretary and the Deputy Under Secretary of Commerce 
        for Communications and Information, respectively, on and after 
        that date without the need for renomination or reappointment.
            (4) References.--Any reference in a law, regulation, 
        document, paper, or other record of the United States to the 
        Assistant Secretary of Commerce for Communications and 
        Information shall, on and after the date of the enactment of 
        this Act, be deemed to be a reference to the Under Secretary.
            (5) Executive schedule.--
                    (A) In general.--Subchapter II of chapter 53 of 
                title 5, United States Code, is amended--
                            (i) in section 5314, by adding at the end 
                        the following:
            ``Under Secretary of Commerce for Communications and 
        Information.''; and
                            (ii) in section 5315, in the item relating 
                        to the Assistant Secretaries of Commerce, by 
                        striking ``(11)'' and inserting ``(10)''.
                    (B) Effective date.--The amendment made by 
                subparagraph (A) (establishing the annual rate of the 
                basic pay of the Under Secretary) shall take effect on 
                the first day of the first pay period beginning after 
                the date of the enactment of this Act.
    (c) Authorities and Responsibilities.--
            (1) Coordination of executive branch views on matters 
        before the federal communications commission.--Section 
        105(a)(1) of the National Telecommunications and Information 
        Administration Organization Act (47 U.S.C. 904(a)(1)) is 
        amended--
                    (A) by striking ``to ensure that the conduct'' and 
                inserting the following: ``to ensure that--
                    ``(A) the conduct'';
                    (B) in subparagraph (A), as so designated, by 
                striking the period at the end and inserting ``; and''; 
                and
                    (C) by adding at the end the following:
                    ``(B) the views of the executive branch on matters 
                presented to the Commission are, consistent with 
                section 103(b)(2)(J)--
                            ``(i) appropriately coordinated; and
                            ``(ii) reflective of executive branch 
                        policy.''.
            (2) Assigned functions.--Section 103(b)(2) of the National 
        Telecommunications and Information Administration Organization 
        Act (47 U.S.C. 902(b)(2)) is amended--
                    (A) in the matter preceding subparagraph (A), by 
                inserting ``, some of which were'' before ``transferred 
                to the Secretary''; and
                    (B) in subparagraph (M), by inserting ``, publish 
                reports,'' after ``studies''.
            (3) Rule of construction.--Nothing in the amendments made 
        by paragraphs (1) and (2) may be construed to expand or 
        contract the authority of the Commission.
    (d) Technical and Conforming Amendments.--
            (1) Public telecommunications financing act of 1978.--
        Section 106(c) of the Public Telecommunications Financing Act 
        of 1978 (5 U.S.C. 5316 note; Public Law 95-567) is amended by 
        striking ``The position of Deputy Assistant Secretary of 
        Commerce for Communications and Information, established in 
        Department of Commerce Organization Order Numbered 10-10 
        (effective March 26, 1978),'' and inserting ``The position of 
        Deputy Under Secretary of Commerce for Communications and 
        Information, established under section 103(a) of the National 
        Telecommunications and Information Administration Organization 
        Act (47 U.S.C. 902(a)),''.
            (2) Communications act of 1934.--Section 344(d)(2) of the 
        Communications Act of 1934 (47 U.S.C. 344(d)(2)) is amended by 
        striking ``Assistant Secretary'' and inserting ``Under 
        Secretary''.
            (3) Homeland security act of 2002.--Section 1805(d)(2) of 
        the Homeland Security Act of 2002 (6 U.S.C. 575(d)(2)) is 
        amended by striking ``Assistant Secretary for Communications 
        and Information of the Department of Commerce'' and inserting 
        ``Under Secretary of Commerce for Communications and 
        Information''.
            (4) Agriculture improvement act of 2018.--Section 6212 of 
        the Agriculture Improvement Act of 2018 (7 U.S.C. 950bb-6) is 
        amended--
                    (A) in subsection (d)(1), in the heading, by 
                striking ``Assistant secretary'' and inserting ``Under 
                secretary''; and
                    (B) by striking ``Assistant Secretary'' each place 
                the term appears and inserting ``Under Secretary''.
            (5) Title 17, united states code.--Section 1201(a)(1)(C) of 
        title 17, United States Code, is amended by striking 
        ``Assistant Secretary for Communications and Information of the 
        Department of Commerce'' and inserting ``Under Secretary of 
        Commerce for Communications and Information''.
            (6) Unlocking consumer choice and wireless competition 
        act.--Section 2(b) of the Unlocking Consumer Choice and 
        Wireless Competition Act (17 U.S.C. 1201 note; Public Law 113-
        144) is amended by striking ``Assistant Secretary for 
        Communications and Information of the Department of Commerce'' 
        and inserting ``Under Secretary of Commerce for Communications 
        and Information''.
            (7) Communications satellite act of 1962.--Section 
        625(a)(1) of the Communications Satellite Act of 1962 (47 
        U.S.C. 763d(a)(1)) is amended, in the matter preceding 
        subparagraph (A), by striking ``Assistant Secretary'' and 
        inserting ``Under Secretary of Commerce''.
            (8) Spectrum pipeline act of 2015.--The Spectrum Pipeline 
        Act of 2015 (47 U.S.C. 921 note; title X of Public Law 114-74) 
        is amended--
                    (A) in section 1002(1), in the heading, by striking 
                ``Assistant secretary'' and inserting ``Under 
                secretary''; and
                    (B) by striking ``Assistant Secretary'' each place 
                the term appears and inserting ``Under Secretary''.
            (9) Warning, alert, and response network act.--Section 606 
        of the Warning, Alert, and Response Network Act (47 U.S.C. 
        1205) is amended--
                    (A) by striking ``Assistant Secretary'' each place 
                the term appears and inserting ``Under Secretary''; and
                    (B) in subsection (b), in the first sentence, by 
                striking ``for7Communications'' and inserting ``for 
                Communications''.
            (10) American recovery and reinvestment act of 2009.--
        Section 6001 of the American Recovery and Reinvestment Act of 
        2009 (47 U.S.C. 1305) is amended by striking ``Assistant 
        Secretary'' each place the term appears and inserting ``Under 
        Secretary''.
            (11) Middle class tax relief and job creation act of 
        2012.--Title VI of the Middle Class Tax Relief and Job Creation 
        Act of 2012 (47 U.S.C. 1401 et seq.) is amended--
                    (A) in section 6001 (47 U.S.C. 1401)--
                            (i) by striking paragraph (4);
                            (ii) by redesignating paragraphs (5) 
                        through (32) as paragraphs (4) through (31), 
                        respectively; and
                            (iii) by inserting after paragraph (31), as 
                        so redesignated, the following:
            ``(32) Under secretary.--The term `Under Secretary' means 
        the Under Secretary of Commerce for Communications and 
        Information.''; and
                    (B) by striking ``Assistant Secretary'' each place 
                the term appears and inserting ``Under Secretary''.
            (12) Ray baum's act of 2018.--The RAY BAUM'S Act of 2018 
        (division P of Public Law 115-141; 132 Stat. 348) is amended by 
        striking ``Assistant Secretary'' each place the term appears 
        and inserting ``Under Secretary''.
            (13) Secure and trusted communications networks act of 
        2019.--Section 8 of the Secure and Trusted Communications 
        Networks Act of 2019 (47 U.S.C. 1607) is amended--
                    (A) in subsection (c)(1), in the heading, by 
                striking ``Assistant secretary'' and inserting ``Under 
                secretary''; and
                    (B) by striking ``Assistant Secretary'' each place 
                the term appears and inserting ``Under Secretary''.
            (14) Title 51, united states code.--Section 50112(3) of 
        title 51, United States Code, is amended, in the matter 
        preceding subparagraph (A), by striking ``Assistant Secretary'' 
        each place the term appears and inserting ``Under Secretary''.
            (15) Consolidated appropriations act, 2021.--The 
        Consolidated Appropriations Act, 2021 (Public Law 116-260) is 
        amended--
                    (A) in title IX of division N--
                            (i) in section 902(a)(2), in the heading, 
                        by striking ``Assistant secretary'' and 
                        inserting ``Under secretary'';
                            (ii) in section 905--
                                    (I) in subsection (a)(1), in the 
                                heading, by striking ``Assistant 
                                secretary'' and inserting ``Under 
                                secretary'';
                                    (II) in subsection (c)(3)(B), in 
                                the heading, by striking ``assistant 
                                secretary'' and inserting ``under 
                                secretary'';
                                    (III) in subsection (d)(2)(B), in 
                                the heading, by striking ``assistant 
                                secretary'' and inserting ``under 
                                secretary''; and
                            (iii) by striking ``Assistant Secretary'' 
                        each place the term appears (except in section 
                        905(a)(13)(E)) and inserting ``Under 
                        Secretary''; and
                    (B) in title IX of division FF--
                            (i) in section 903(g)(2), in the heading, 
                        by striking ``Assistant secretary'' and 
                        inserting ``Under secretary''; and
                            (ii) by striking ``Assistant Secretary'' 
                        each place the term appears and inserting 
                        ``Under Secretary''.
            (16) Infrastructure investment and jobs act.--The 
        Infrastructure Investment and Jobs Act (Public Law 117-58) is 
        amended--
                    (A) in section 27003, by striking ``Assistant 
                Secretary'' each place the term appears and inserting 
                ``Under Secretary'';
                    (B) in division F--
                            (i) in section 60102--
                                    (I) in subsection (a)(2)(A), by 
                                striking ``Assistant secretary'' and 
                                inserting ``Under secretary'';
                                    (II) in subsection (d)(1), by 
                                striking ``Assistant secretary'' and 
                                inserting ``Under secretary''; and
                                    (III) in subsection (h)--
                                            (aa) in paragraph (1)(B), 
                                        by striking ``assistant 
                                        secretary'' and inserting 
                                        ``under secretary''; and
                                            (bb) in paragraph 
                                        (5)(B)(iii), by striking 
                                        ``assistant secretary'' and 
                                        inserting ``under secretary'';
                            (ii) in title III--
                                    (I) in section 60302(5), by 
                                striking ``Assistant secretary'' and 
                                inserting ``Under secretary''; and
                                    (II) in section 60305(d)(2)(B)(ii), 
                                by striking ``assistant secretary'' and 
                                inserting ``under secretary'';
                            (iii) in section 60401(a)(2), by striking 
                        ``Assistant secretary'' and inserting ``Under 
                        secretary'';
                            (iv) by striking ``Assistant Secretary'' 
                        each place the term appears and inserting 
                        ``Under Secretary''; and
                    (C) in division J, in title I, in the matter under 
                the heading ``distance learning, telemedicine, and 
                broadband program'' under the heading ``Rural Utilities 
                Service'' under the heading ``RURAL DEVELOPMENT 
                PROGRAMS'', by striking ``Assistant Secretary'' and 
                inserting ``Under Secretary''.

SEC. 1612. NTIA CONSOLIDATED REPORTING ACT.

    (a) Elimination of Certain Outdated or Completed Reporting 
Requirements.--
            (1) BTOP quarterly report.--Section 6001(d) of the American 
        Recovery and Reinvestment Act of 2009 (47 U.S.C. 1305(d)) is 
        amended--
                    (A) in paragraph (2), by striking the semicolon at 
                the end and inserting ``; and'';
                    (B) in paragraph (3), by striking ``; and'' and 
                inserting a period; and
                    (C) by striking paragraph (4).
            (2) Certain reports required by national telecommunications 
        and information administration organization act.--Sections 154, 
        155, and 156 of the National Telecommunications and Information 
        Administration Organization Act are repealed.
            (3) Initial report required by section 9202(a)(1)(G) of the 
        ndaa for fiscal year 2021.--Section 9202(a)(1)(G) of the 
        William M. (Mac) Thornberry National Defense Authorization Act 
        for Fiscal Year 2021 (47 U.S.C. 906(a)(1)(G)) is amended--
                    (A) in clause (ii), by redesignating subclauses 
                (I), (II), and (III) as clauses (i), (ii), and (iii), 
                respectively, and conforming the margins of such 
                clauses accordingly; and
                    (B) by striking ``Reports to congress'' and all 
                that follows through ``For each fiscal year'' and 
                inserting ``Annual report to congress.--For each fiscal 
                year''.
            (4) Report to president.--Section 105(a) of the National 
        Telecommunications and Information Administration Organization 
        Act (47 U.S.C. 904(a)) is amended--
                    (A) by striking paragraph (2); and
                    (B) by redesignating paragraph (3) as paragraph 
                (2).
            (5) Effect on authority.--Nothing in this subsection or the 
        amendments made by this subsection may be construed to expand 
        or contract the authority of the Secretary, the Under 
        Secretary, the NTIA, or the Commission.
            (6) Other reports.--Nothing in this subsection or the 
        amendments made by this subsection may be construed to prohibit 
        or otherwise prevent the Secretary, the Under Secretary, the 
        NTIA, or the Commission from producing any additional reports 
        otherwise within the authority of the Secretary, the Under 
        Secretary, the NTIA, or the Commission, respectively.
    (b) Consolidated Annual Report.--
            (1) In general.--In the first quarter of each calendar 
        year, the Under Secretary shall publish on the website of the 
        NTIA and submit to the Committee on Energy and Commerce of the 
        House of Representatives and the Committee on Commerce, 
        Science, and Transportation of the Senate a report that 
        contains the reports described in paragraph (2) for the fiscal 
        year ending most recently before the beginning of such quarter.
            (2) Reports described.--The reports described in this 
        paragraph are the following:
                    (A) The report required by section 903(c)(2)(C) of 
                division FF of the Consolidated Appropriations Act, 
                2021 (47 U.S.C. 1307(c)(2)(C)).
                    (B) If amounts in the Public Wireless Supply Chain 
                Innovation Fund established by section 9202(a)(1)(A)(i) 
                of the William M. (Mac) Thornberry National Defense 
                Authorization Act for Fiscal Year 2021 (47 U.S.C. 
                906(a)(1)(A)(i)) were available for the fiscal year 
                described in paragraph (1) of this subsection, the 
                report required by section 9202(a)(1)(G) of such Act 
                (47 U.S.C. 906(a)(1)(G)).
                    (C) If the Under Secretary awarded grants under 
                section 60304(d)(1) of the Infrastructure Investment 
                and Jobs Act (47 U.S.C. 1723(d)(1)) in the fiscal year 
                described in paragraph (1) of this subsection, the 
                report required by section 60306(a)(1)(A) of such Act 
                (47 U.S.C. 1725(a)(1)(A)).
            (3) Timing of underlying reporting requirements.--
                    (A) Report of office of internet connectivity and 
                growth.--Section 903(c)(2)(C) of division FF of the 
                Consolidated Appropriations Act, 2021 (47 U.S.C. 
                1307(c)(2)(C)) is amended--
                            (i) in the matter preceding clause (i)--
                                    (I) by striking ``Not later than 1 
                                year after the date of the enactment of 
                                this Act, and every year thereafter,'' 
                                and inserting ``In the first quarter of 
                                each calendar year,'';
                                    (II) by inserting ``, for the 
                                fiscal year ending most recently before 
                                the beginning of such quarter,'' after 
                                ``a report''; and
                            (ii) in clause (i), by striking ``for the 
                        previous year''.
                    (B) Report on digital equity grant programs.--
                Section 60306(a)(1) of the Infrastructure Investment 
                and Jobs Act (47 U.S.C. 1725(a)(1)) is amended--
                            (i) in the matter preceding subparagraph 
                        (A), by striking ``Not later than 1 year'' and 
                        all that follows through ``shall--'' and 
                        inserting the following: ``For the first fiscal 
                        year in which the Under Secretary awards grants 
                        under section 60304(d)(1), and each fiscal year 
                        thereafter in which the Under Secretary awards 
                        grants under such section, the Under Secretary 
                        shall--''; and
                            (ii) in subparagraph (A)--
                                    (I) by inserting ``in the first 
                                quarter of the first calendar year that 
                                begins after the end of such fiscal 
                                year,'' before ``submit''; and
                                    (II) by striking ``, for the year 
                                covered by the report''.
            (4) Satisfaction of underlying reporting requirements.--
                    (A) In general.--Except as provided in subparagraph 
                (B), the publication and submission of a report as 
                required by paragraph (1) in the first quarter of a 
                calendar year shall be treated as satisfying any 
                requirement to publish or otherwise make publicly 
                available or to submit to Congress or to a committee of 
                Congress a report described in paragraph (2) for the 
                fiscal year ending most recently before the beginning 
                of such quarter.
                    (B) Certain submission requirements.--At the time 
                when the Under Secretary submits a report required by 
                paragraph (1) to the committees described in such 
                paragraph, the Under Secretary shall submit any portion 
                of such report that relates to a report described in 
                paragraph (2)(C) to each committee of Congress not 
                described in paragraph (1) to which such report would 
                (without regard to subparagraph (A) of this paragraph) 
                be required to be submitted.
            (5) Applicability.--Paragraph (1), and the amendments made 
        by paragraph (3), shall apply beginning on January 1 of the 
        first calendar year that begins after the date of the enactment 
        of this Act.
    (c) Extension of Certain Audit and Reporting Requirements.--Section 
902(c)(4)(A) of division N of the Consolidated Appropriations Act, 2021 
(47 U.S.C. 1306(c)(4)(A)) is amended by striking ``fiscal years 2021 
and 2022'' and inserting ``fiscal years 2021, 2022, 2023, and 2024''.
    (d) Definition.--In this section, the term ``Secretary'' means the 
Secretary of Commerce.

               Subtitle B--Office of Spectrum Management

SEC. 1621. OFFICE OF SPECTRUM MANAGEMENT.

    Part A of the National Telecommunications and Information 
Administration Organization Act (47 U.S.C. 901 et seq.) is amended by 
adding at the end the following:

``SEC. 106. OFFICE OF SPECTRUM MANAGEMENT.

    ``(a) Establishment.--There is established within the NTIA an 
Office of Spectrum Management (in this section referred to as the 
`Office').
    ``(b) Head of Office.--
            ``(1) In general.--The head of the Office shall be an 
        Associate Administrator for Spectrum Management (in this 
        section referred to as the `Associate Administrator').
            ``(2) Requirement to report.--The Associate Administrator 
        shall report to the Under Secretary (or a designee of the Under 
        Secretary).
    ``(c) Duties.--The Associate Administrator shall, at the direction 
of the Under Secretary--
            ``(1) carry out responsibilities under section 103(b)(2)(A) 
        (relating to frequency assignments for radio stations belonging 
        to and operated by the United States), make frequency 
        allocations for frequencies that will be used by such stations, 
        and develop and maintain techniques, databases, measurements, 
        files, and procedures necessary for such allocations;
            ``(2) carry out responsibilities under section 103(b)(2)(K) 
        (relating to establishing policies concerning spectrum 
        assignments and use by radio stations belonging to and operated 
        by the United States) and provide Federal agencies with 
        guidance to ensure that the conduct of telecommunications 
        activities by such agencies is consistent with such policies;
            ``(3) represent the interests of Federal agencies in the 
        process through which the Commission and the NTIA jointly 
        determine the National Table of Frequency Allocations, and 
        coordinate with the Commission in the development of a 
        comprehensive long-range plan for improved management of all 
        electromagnetic spectrum resources;
            ``(4) appoint the chairpersons of and provide secretariat 
        functions for the Interdepartmental Radio Advisory Committee 
        and the Interagency Spectrum Advisory Council;
            ``(5) carry out responsibilities under section 103(b)(2)(B) 
        (relating to authorizing a foreign government to construct and 
        operate a radio station at the seat of Government of the United 
        States) and assign frequencies for use by such stations;
            ``(6) provide advice and assistance to the Under Secretary 
        and coordinate with the Associate Administrator for 
        International Affairs in carrying out spectrum management 
        aspects of the international policy responsibilities of the 
        NTIA, including spectrum-related responsibilities under section 
        103(b)(2)(G);
            ``(7) carry out spectrum-related responsibilities under 
        section 103(b)(2)(H) (relating to coordination of the 
        telecommunications activities of the executive branch and 
        assistance in the formulation of policies and standards for 
        such activities);
            ``(8) carry out spectrum-related responsibilities under 
        section 103(b)(2)(Q) (relating to certain activities with 
        respect to telecommunications resources); and
            ``(9) carry out any other duties of the NTIA with respect 
        to spectrum policy that the Under Secretary may designate.''.

              Subtitle C--Office of International Affairs

SEC. 1631. OFFICE OF INTERNATIONAL AFFAIRS.

    Part A of the National Telecommunications and Information 
Administration Organization Act (47 U.S.C. 901 et seq.), as amended by 
the preceding provisions of this title, is further amended by adding at 
the end the following:

``SEC. 107. OFFICE OF INTERNATIONAL AFFAIRS.

    ``(a) Establishment.--There is established within the NTIA an 
Office of International Affairs (in this section referred to as the 
`Office').
    ``(b) Head of Office.--
            ``(1) In general.--The head of the Office shall be an 
        Associate Administrator for International Affairs (in this 
        section referred to as the `Associate Administrator').
            ``(2) Requirement to report.--The Associate Administrator 
        shall report to the Under Secretary (or a designee of the Under 
        Secretary).
    ``(c) Duties.--The Associate Administrator shall, at the direction 
of the Under Secretary--
            ``(1) in coordination with the Secretary of State, conduct 
        analysis of, review, and formulate international 
        telecommunications and information policy;
            ``(2) present on international telecommunications and 
        information policy--
                    ``(A) before the Commission, Congress, and others; 
                and
                    ``(B) in coordination with the Secretary of State, 
                before international telecommunications bodies, 
                including the International Telecommunication Union;
            ``(3) conduct or obtain analysis on economic and other 
        aspects of international telecommunications and information 
        policy;
            ``(4) formulate, and recommend to the Under Secretary, 
        polices and plans with respect to preparation for and 
        participation in international telecommunications and 
        information policy activities;
            ``(5) in coordination with the Secretary of State, 
        coordinate NTIA and interdepartmental economic, technical, 
        operational, and other preparations related to participation by 
        the United States in international telecommunications and 
        information policy conferences and negotiations;
            ``(6) ensure NTIA representation with respect to 
        international telecommunications and information policy 
        meetings and the activities related to preparation for such 
        meetings;
            ``(7) in coordination with the Secretary of State, 
        coordinate with Federal agencies and private organizations 
        engaged in activities involving international 
        telecommunications and information policy matters and maintain 
        cognizance of the activities of United States signatories with 
        respect to related treaties, agreements, and other instruments;
            ``(8) provide advice and assistance related to 
        international telecommunications and information policy to 
        other Federal agencies charged with responsibility for 
        international negotiations, to strengthen the position and 
        serve the best interests of the United States in the conduct of 
        negotiations with foreign nations;
            ``(9) provide advice and assistance to the Under Secretary 
        with respect to evaluating the international impact of matters 
        pending before the Commission, other Federal agencies, and 
        Congress;
            ``(10) carry out, at the request of the Secretary, the 
        responsibilities of the Secretary under the Communications 
        Satellite Act of 1962 (47 U.S.C. 701 et seq.) and other Federal 
        laws related to international telecommunications and 
        information policy; and
            ``(11) carry out any other duties of the NTIA with respect 
        to international telecommunications and information policy that 
        the Under Secretary may designate.''.

                           DIVISION C--HEALTH

                           TITLE I--MEDICAID

SEC. 101. STREAMLINED ENROLLMENT PROCESS FOR ELIGIBLE OUT-OF-STATE 
              PROVIDERS UNDER MEDICAID AND CHIP.

    (a) In General.--Section 1902(kk) of the Social Security Act (42 
U.S.C. 1396a(kk)) is amended by adding at the end the following new 
paragraph:
            ``(10) Streamlined enrollment process for eligible out-of-
        state providers.--
                    ``(A) In general.--The State--
                            ``(i) adopts and implements a process to 
                        allow an eligible out-of-State provider to 
                        enroll under the State plan (or a waiver of 
                        such plan) to furnish items and services to, or 
                        order, prescribe, refer, or certify eligibility 
                        for items and services for, qualifying 
                        individuals without the imposition of screening 
                        or enrollment requirements by such State that 
                        exceed the minimum necessary for such State to 
                        provide payment to an eligible out-of-State 
                        provider under such State plan (or a waiver of 
                        such plan), such as the provider's name and 
                        National Provider Identifier (and such other 
                        information specified by the Secretary); and
                            ``(ii) provides that an eligible out-of-
                        State provider that enrolls as a participating 
                        provider in the State plan (or a waiver of such 
                        plan) through such process shall be so enrolled 
                        for a 5-year period, unless the provider is 
                        terminated or excluded from participation 
                        during such period.
                    ``(B) Definitions.--In this paragraph:
                            ``(i) Eligible out-of-state provider.--The 
                        term `eligible out-of-State provider' means, 
                        with respect to a State, a provider--
                                    ``(I) that is located in any other 
                                State;
                                    ``(II) that--
                                            ``(aa) was determined by 
                                        the Secretary to have a limited 
                                        risk of fraud, waste, and abuse 
                                        for purposes of determining the 
                                        level of screening to be 
                                        conducted under section 
                                        1866(j)(2), has been so 
                                        screened under such section 
                                        1866(j)(2), and is enrolled in 
                                        the Medicare program under 
                                        title XVIII; or
                                            ``(bb) was determined by 
                                        the State agency administering 
                                        or supervising the 
                                        administration of the State 
                                        plan (or a waiver of such plan) 
                                        of such other State to have a 
                                        limited risk of fraud, waste, 
                                        and abuse for purposes of 
                                        determining the level of 
                                        screening to be conducted under 
                                        paragraph (1) of this 
                                        subsection, has been so 
                                        screened under such paragraph 
                                        (1), and is enrolled under such 
                                        State plan (or a waiver of such 
                                        plan); and
                                    ``(III) that has not been--
                                            ``(aa) excluded from 
                                        participation in any Federal 
                                        health care program pursuant to 
                                        section 1128 or 1128A;
                                            ``(bb) excluded from 
                                        participation in the State plan 
                                        (or a waiver of such plan) 
                                        pursuant to part 1002 of title 
                                        42, Code of Federal Regulations 
                                        (or any successor regulation), 
                                        or State law; or
                                            ``(cc) terminated from 
                                        participating in a Federal 
                                        health care program or the 
                                        State plan (or a waiver of such 
                                        plan) for a reason described in 
                                        paragraph (8)(A).
                            ``(ii) Qualifying individual.--The term 
                        `qualifying individual' means an individual 
                        under 21 years of age who is enrolled under the 
                        State plan (or waiver of such plan).
                            ``(iii) State.--The term `State' means 1 of 
                        the 50 States or the District of Columbia.''.
    (b) Conforming Amendments.--
            (1) Section 1902(a)(77) of the Social Security Act (42 
        U.S.C. 1396a(a)(77)) is amended by inserting ``enrollment,'' 
        after ``screening,''.
            (2) The subsection heading for section 1902(kk) of such Act 
        (42 U.S.C. 1396a(kk)) is amended by inserting ``enrollment,'' 
        after ``screening,''.
            (3) Section 2107(e)(1)(G) of such Act (42 U.S.C. 
        1397gg(e)(1)(G)) is amended by inserting ``enrollment,'' after 
        ``screening,''.
    (c) Effective Date.--The amendments made by this section shall take 
effect on the date that is 3 years after the date of enactment of this 
Act.

SEC. 102. MAKING CERTAIN ADJUSTMENTS TO COVERAGE OF HOME OR COMMUNITY-
              BASED SERVICES UNDER MEDICAID.

    (a) Increasing Transparency of HCBS Coverage Under Medicaid.--
            (1) In general.--Section 1915(c) of the Social Security Act 
        (42 U.S.C. 1396n(c)) is amended--
                    (A) in paragraph (2)--
                            (i) in subparagraph (E)--
                                    (I) by inserting ``, not less 
                                frequently than'' before ``annually''; 
                                and
                                    (II) by inserting ``(including, 
                                with respect to such information 
                                provided on or after July 9, 2027, the 
                                information specified in paragraph 
                                (11))'' before the period at the end; 
                                and
                            (ii) by adding at the end the following 
                        flush sentence:
        ``The Secretary shall make all information provided under 
        subparagraph (E) on or after the date of the enactment of this 
        sentence publicly available on the website of the Centers for 
        Medicare & Medicaid Services.''; and
                    (B) by adding at the end the following new 
                paragraph:
            ``(11) For purposes of paragraph (2)(E), the information 
        specified in this paragraph is the following:
                    ``(A) In the case of a State that limits the number 
                of individuals who may be provided home or community-
                based services under a waiver granted under this 
                subsection and maintains a list of individuals waiting 
                to enroll in such waiver, a description of how the 
                State maintains such list, including--
                            ``(i) information on whether the State 
                        screens individuals on such list to determine 
                        whether such individuals are eligible to 
                        receive such services under such waiver;
                            ``(ii) information on whether (and, if 
                        applicable, how often) the State periodically 
                        re-screens individuals on such list for 
                        eligibility;
                            ``(iii) the number of people on such list 
                        of individuals waiting to enroll in such 
                        waiver; and
                            ``(iv) the average amount of time that 
                        individuals newly enrolled in such waiver 
                        within the past 12 months were on such list of 
                        individuals waiting to enroll in such waiver.
                    ``(B) With respect to homemaker services, home 
                health aide services, personal care services, and 
                habilitation services furnished under waivers under 
                this subsection, by each such service type--
                            ``(i) for individuals newly receiving such 
                        services within the past 12 months, the average 
                        amount of time (which may be determined using 
                        statistically valid random sampling of such 
                        individuals) from when such services are 
                        initially approved for such an individual to 
                        when such individual begins receiving such 
                        services; and
                            ``(ii) the percentage of authorized hours 
                        (which may be determined using statistically 
                        valid random sampling of individuals authorized 
                        to receive such services) that are provided 
                        within the past 12 months.''.
            (2) Conforming amendments.--Section 1915 of the Social 
        Security Act (42 U.S.C. 1396n) is amended--
                    (A) in subsection (i) by adding at the end the 
                following new paragraph:
            ``(8) Reporting requirement.--With respect to homemaker 
        services, home health aide services, personal care services, 
        and habilitation services provided under this subsection on or 
        after July 9, 2027, the State, not less frequently than 
        annually, shall provide to the Secretary the same information 
        regarding such services as the State is required to provide 
        under subsection (c)(11)(B).'';
                    (B) in subsection (j)(2)(E), by inserting after the 
                second sentence the following: ``With respect to any 
                homemaker services, home health aide services, personal 
                care services, and habilitation services provided under 
                this subsection on or after July 9, 2027, the State, 
                not less frequently than annually, shall provide to the 
                Secretary the same information regarding such services 
                as the State is required to provide under subsection 
                (c)(11)(B).''; and
                    (C) in subsection (k)(3)(E)--
                            (i) by striking ``and'' after ``the cost of 
                        such services and supports,''; and
                            (ii) by inserting before the period, the 
                        following: ``, and with respect to homemaker 
                        services, home health aide services, personal 
                        care services, and habilitation services 
                        provided under this subsection on or after July 
                        9, 2027, not less frequently than annually, the 
                        same information regarding such services as the 
                        State is required to provide under subsection 
                        (c)(11)(B)''.
    (b) Demonstration Program To Expand HCBS Coverage Under Section 
1915(c) Waivers.--Section 1915(c) of the Social Security Act (42 U.S.C. 
1396n(c)), as amended by subsection (a), is further amended--
            (1) in paragraph (2)(E), by inserting ``, and the 
        information specified in paragraph (12)(C)(v), when 
        applicable'' after ``paragraph (11)''; and
            (2) by adding at the end the following new paragraph:
            ``(12) Demonstration program to expand coverage for home or 
        community-based services.--
                    ``(A) In general.--
                            ``(i) Approval.--Not later than 24 months 
                        after the date on which the planning grants 
                        under subparagraph (B) are awarded, 
                        notwithstanding paragraph (1), the Secretary 
                        may approve a waiver that is standalone from 
                        any other waiver approved under this subsection 
                        for not more than 5 States, selected in 
                        accordance with clause (ii), to include as 
                        medical assistance under the State plan of such 
                        State, for the 3-year period beginning on the 
                        date of such approval, payment for part or all 
                        of the cost of home or community-based services 
                        (other than room and board (as described in 
                        paragraph (1))) approved by the Secretary which 
                        are provided pursuant to a written plan of care 
                        to individuals described in subparagraph 
                        (C)(iii).
                            ``(ii) Selection criteria.--In selecting 
                        States for purposes of clause (i), the 
                        Secretary shall--
                                    ``(I) only select States that 
                                received a planning grant under 
                                subparagraph (B);
                                    ``(II) only select States that meet 
                                the requirements specified in 
                                subparagraph (C) and such other 
                                requirements as the Secretary may 
                                determine appropriate;
                                    ``(III) select States in a manner 
                                that ensures geographic diversity;
                                    ``(IV) give preference to States 
                                with a higher percentage (relative to 
                                other States that apply to be selected 
                                for purposes of clause (i)) of the 
                                total State population residing in 
                                rural areas (as determined by the 
                                Secretary);
                                    ``(V) give preference to States 
                                that have demonstrated more progress in 
                                rebalancing long-term services and 
                                supports systems under this title, as 
                                determined based on the relative share 
                                of individuals who use home or 
                                community-based services (as defined by 
                                the Secretary) under this title as a 
                                percentage of total individuals who use 
                                long-term services and supports (as 
                                defined by the Secretary) under this 
                                title (in the most recent year for 
                                which such data is available); and
                                    ``(VI) give preference to States 
                                that pursue a waiver under this 
                                paragraph that incorporates the 
                                provision of mental health services for 
                                adults with serious mental illness, 
                                children with serious emotional 
                                disturbances, or individuals with 
                                substance use disorder.
                    ``(B) Planning grants.--
                            ``(i) In general.--
                                    ``(I) Approval.--Not later than 18 
                                months after the date of the enactment 
                                of this paragraph, the Secretary shall 
                                award planning grants of not more than 
                                $5,000,000 each to not more than 10 
                                States for purposes of preparing to 
                                submit a request for a waiver under 
                                this subsection (including for costs to 
                                implement the waiver or other 
                                activities to expand the provision of 
                                home or community-based services under 
                                this section) to provide home or 
                                community-based services to individuals 
                                described in subparagraph (C)(iii).
                                    ``(II) Selection criteria.--In 
                                awarding planning grants under 
                                subclause (I), the Secretary shall use 
                                the selection criteria specified in 
                                subclauses (III) through (VI) of 
                                subparagraph (A)(ii).
                            ``(ii) Consultation.--A State that is 
                        awarded a planning grant under clause (i) 
                        shall, in preparing to submit a request for a 
                        waiver described in such clause, consult with--
                                    ``(I) individuals in need of (and 
                                not receiving) home or community-based 
                                services, individuals receiving home or 
                                community-based services, and the 
                                caregivers of such individuals;
                                    ``(II) providers furnishing home or 
                                community-based services; and
                                    ``(III) such other stakeholders, as 
                                the Secretary may specify.
                    ``(C) State requirements.--In addition to the 
                requirements specified under this subsection (except 
                for the requirements described in subparagraphs (C) and 
                (D) of paragraph (2) and any other requirement the 
                Secretary determines to be inapplicable in the context 
                of a waiver relation to individuals who do not require 
                the level of care described in paragraph (1)), the 
                requirements specified in this paragraph are, with 
                respect to a State, the following:
                            ``(i) As of the date that such State 
                        requests a waiver under this subsection to 
                        provide home or community-based services to 
                        individuals described in clause (iii), all 
                        other waivers (if any) granted under this 
                        subsection to such State meet the requirements 
                        of this subsection.
                            ``(ii) The State demonstrates to the 
                        Secretary that approval of a waiver under this 
                        subsection with respect to individuals 
                        described in clause (iii) will not result in a 
                        material increase of the average amount of time 
                        that individuals with respect to whom a 
                        determination described in paragraph (1) has 
                        been made will need to wait to receive home or 
                        community-based services under any waiver 
                        granted under this subsection, as determined by 
                        the Secretary.
                            ``(iii) The State establishes needs-based 
                        criteria, subject to the approval of the 
                        Secretary, to identify individuals for whom a 
                        determination described in paragraph (1) is not 
                        applicable, who will be eligible for home or 
                        community-based services under a waiver 
                        approved under this paragraph, and specifies 
                        the home or community-based services such 
                        individuals so eligible will receive.
                            ``(iv) The State established needs-based 
                        criteria for determining whether an individual 
                        described in clause (iii) requires the level of 
                        care provided in a hospital, nursing facility, 
                        or an intermediate care facility for 
                        individuals with developmental disabilities 
                        under the State plan or under any waiver of 
                        such plan that are more stringent than the 
                        needs-based criteria established under clause 
                        (iii) for determining eligibility for home or 
                        community-based services.
                            ``(v) The State attests that the State's 
                        average per capita expenditure for medical 
                        assistance under the State plan (or waiver of 
                        such plan) provided with respect to such 
                        individuals enrolled in a waiver under this 
                        paragraph will not exceed the State's average 
                        per capita expenditures for medical assistance 
                        for individuals receiving institutional care 
                        under the State plan (or waiver of such plan) 
                        for the duration that the waiver under this 
                        paragraph is in effect.
                            ``(vi) The State provides to the Secretary 
                        data (in such form and manner as the Secretary 
                        may specify) regarding the number of 
                        individuals described in clause (i) with 
                        respect to a State seeking approval of a waiver 
                        under this subsection, to whom the State will 
                        make such services available under such waiver.
                            ``(vii) The State agrees to provide to the 
                        Secretary, not less frequently than annually, 
                        data for purposes of paragraph (2)(E) (in such 
                        form and manner as the Secretary may specify) 
                        regarding, with respect to each preceding year 
                        in which a waiver under this subsection to 
                        provide home and community-based services to 
                        individuals described in clause (iii) was in 
                        effect--
                                    ``(I) the cost (as such term is 
                                defined by the Secretary) of such 
                                services furnished to individuals 
                                described in clause (iii), broken down 
                                by type of service;
                                    ``(II) with respect to each type of 
                                home and community-based service 
                                provided under the waiver, the length 
                                of time that such individuals have 
                                received such service;
                                    ``(III) a comparison between the 
                                data described in subclause (I) and any 
                                comparable data available with respect 
                                to individuals with respect to whom a 
                                determination described in paragraph 
                                (1) has been made and with respect to 
                                individuals receiving institutional 
                                care under this title; and
                                    ``(IV) the number of individuals 
                                who have received home and community-
                                based services under the waiver during 
                                the preceding year.''.
    (c) Non-Application of the Paperwork Reduction Act.--Chapter 35 of 
title 44, United States Code (commonly referred to as the ``Paperwork 
Reduction Act of 1995''), shall not apply to the implementation of the 
amendments made by subsections (a) and (b).
    (d) CMS Guidance to States on Interim Coverage Under Section 1915 
Home and Community-Based Services Authorities.--Not later than January 
1, 2027, the Secretary of Health and Human Services shall issue 
guidance to the States to clarify how a State may provide, with respect 
to an individual who is eligible for home and community-based services 
under section 1915 of the Social Security Act (42 U.S.C. 1396n), 
coverage of such services pursuant to a provisional written plan of 
care, pending finalization, with respect to such individual.
    (e) Funding.--
            (1) In general.--There are appropriated, out of any funds 
        in the Treasury not otherwise obligated, $71,000,000 for fiscal 
        year 2025, to remain available until expended, to the Secretary 
        of Health and Human Services for purposes of carrying out 
        subsection (d) and the amendments made by subsection (b).
            (2) Reservation for planning grants.--Of the amount 
        appropriated under paragraph (1), the Secretary of Health and 
        Human Services shall reserve $50,000,000 of such amount to 
        award planning grants under the demonstration program 
        established by the amendments made by subsection (b).

SEC. 103. REMOVING CERTAIN AGE RESTRICTIONS ON MEDICAID ELIGIBILITY FOR 
              WORKING ADULTS WITH DISABILITIES.

    (a) Modification of Optional Buy-In Groups.--
            (1) In general.--Section 1902(a)(10)(A)(ii)(XV) of the 
        Social Security Act (42 U.S.C. 1396a(a)(10)(A)(ii)(XV)) is 
        amended by striking ``but less than 65,''.
            (2) Definition modification.--Section 1905(v)(1)(A) of the 
        Social Security Act (42 U.S.C. 1396d(v)(1)(A)) is amended by 
        striking ``, but less than 65,''.
    (b) Application to Certain States.--A State that, as of the date of 
enactment of this Act, provides for making medical assistance available 
to individuals described in subclause (XV) or (XVI) of section 
1902(a)(10)(A)(ii) of the Social Security Act (42 U.S.C. 
1396a(a)(10)(A)(ii)) shall not be regarded as failing to comply with 
the requirements of either such subclause (as amended by subsection 
(a)(1)) or with section 1905(v)(1)(A) of the Social Security Act (42 
U.S.C. 1396d(v)(1)(A)) (as amended by subsection (a)(2)) before January 
1, 2027.

SEC. 104. MEDICAID STATE PLAN REQUIREMENT FOR DETERMINING RESIDENCY AND 
              COVERAGE FOR MILITARY FAMILIES.

    (a) In General.--Section 1902 of the Social Security Act (42 U.S.C. 
1396a) is amended--
            (1) in subsection (a)--
                    (A) in paragraph (86), by striking ``and'' at the 
                end;
                    (B) in paragraph (87), by striking the period at 
                the end and inserting ``; and''; and
                    (C) by inserting after paragraph (87), the 
                following new paragraph:
            ``(88) beginning January 1, 2028, provide, with respect to 
        an active duty relocated individual (as defined in subsection 
        (uu)(1))--
                    ``(A) that, for purposes of determining eligibility 
                for medical assistance under the State plan (or waiver 
                of such plan), such active duty relocated individual is 
                treated as a resident of the State unless such 
                individual voluntarily elects not to be so treated for 
                such purposes;
                    ``(B) that if, at the time of relocation (as 
                described in subsection (uu)(1)), such active duty 
                relocated individual is on a home and community-based 
                services waiting list (as defined in subsection 
                (uu)(2)), such individual remains on such list until--
                            ``(i) the State completes an assessment and 
                        renders a decision with respect to the 
                        eligibility of such individual to receive the 
                        relevant home and community-based services at 
                        the time a slot for such services becomes 
                        available and, in the case such decision is a 
                        denial of such eligibility, such individual has 
                        exhausted the individual's opportunity for a 
                        fair hearing; or
                            ``(ii) such individual elects to be removed 
                        from such list; and
                    ``(C) payment for medical assistance furnished 
                under the State plan (or a waiver of the plan) on 
                behalf of such active duty relocated individual in the 
                military service relocation State (as referred to in 
                subsection (uu)(1)(B)(i)), to the extent that such 
                assistance is available in such military service 
                relocation State in accordance with such guidance as 
                the Secretary may issue to ensure access to such 
                assistance.''; and
            (2) by adding at the end the following new subsection:
    ``(uu) Active Duty Relocated Individual; Home and Community-Based 
Services Waiting List.--For purposes of subsection (a)(88) and this 
subsection:
            ``(1) Active duty relocated individual.--The term `active 
        duty relocated individual' means an individual--
                    ``(A) who--
                            ``(i) is enrolled under the State plan (or 
                        waiver of such plan); or
                            ``(ii) with respect to an individual 
                        described in subparagraph (C)(ii), would be so 
                        enrolled pursuant to subsection 
                        (a)(10)(A)(ii)(VI) if such individual began 
                        receiving home and community-based services;
                    ``(B) who--
                            ``(i) is a member of the Armed Forces 
                        engaged in active duty service and is relocated 
                        to another State (in this subsection referred 
                        to as the `military service relocation State') 
                        by reason of such service;
                            ``(ii) would be described in clause (i) 
                        except that the individual stopped being 
                        engaged in active duty service (including by 
                        reason of retirement from such service) and the 
                        last day on which the individual was engaged in 
                        active duty service occurred not more than 12 
                        months ago; or
                            ``(iii) is a dependent (as defined by the 
                        Secretary) of a member described in clause (i) 
                        or (ii) who relocates to the military service 
                        relocation State with such member; and
                    ``(C) who--
                            ``(i) was receiving home and community-
                        based services (as defined in section 
                        9817(a)(2)(B) of the American Rescue Plan Act 
                        of 2021) at the time of such relocation; or
                            ``(ii) if the State maintains a home and 
                        community-based services waiting list, was on 
                        such home and community-based services waiting 
                        list at the time of such relocation.
            ``(2) Home and community-based services waiting list.--The 
        term `home and community-based services waiting list' means, in 
        the case of a State that has a limit on the number of 
        individuals who may receive home and community-based services 
        under section 1115(a), section 1915(c), or section 1915(j), a 
        list maintained by such State of individuals who are requesting 
        to receive such services under 1 or more such sections but for 
        whom the State has not yet completed an assessment and rendered 
        a decision with respect to the eligibility of such individuals 
        to receive the relevant home and community-based services at 
        the time a slot for such services becomes available due to such 
        limit.''.
    (b) Implementation Funding.--There are appropriated, out of any 
funds in the Treasury not otherwise obligated, $1,000,000 for each of 
fiscal years 2025 through 2029, to remain available until expended, to 
the Secretary of Health and Human Services for purposes of implementing 
the amendments made by subsection (a).

SEC. 105. ENSURING THE RELIABILITY OF ADDRESS INFORMATION PROVIDED 
              UNDER THE MEDICAID PROGRAM.

    (a) In General.--Section 1902(a) of the Social Security Act (42 
U.S.C. 1396a(a)), as previously amended by this title, is amended--
            (1) in paragraph (87), by striking ``and'' at the end;
            (2) in paragraph (88), by striking the period at the end 
        and inserting ``; and''; and
            (3) by inserting after paragraph (88) the following new 
        paragraph:
            ``(89) beginning January 1, 2026, provide for a process to 
        regularly obtain address information for individuals enrolled 
        under such plan (or a waiver of such plan) from reliable data 
        sources (as described in section 435.919(f)(1)(iii) of title 
        42, Code of Federal Regulations (or a successor regulation)) 
        and act on any changes to such an address based on such 
        information in accordance with such section (or successor 
        regulation), except that this paragraph shall only apply in the 
        case of the 50 States and the District of Columbia.''.
    (b) Application to CHIP.--Section 2107(e)(1) of the Social Security 
Act (42 U.S.C. 1397gg(e)(1)) is amended--
            (1) by redesignating subparagraphs (H) through (U) as 
        subparagraphs (I) through (V), respectively; and
            (2) by inserting after subparagraph (G) the following new 
        subparagraph:
                    ``(H) Section 1902(a)(89) (relating to regularly 
                obtaining address information for enrollees).''.
    (c) Ensuring Transmission of Address Information From Managed Care 
Organizations.--Section 1932 of the Social Security Act (42 U.S.C. 
1396u-2) is amended by adding at the end the following new subsection:
    ``(j) Transmission of Address Information.--Beginning January 1, 
2026, each contract under a State plan with a managed care entity under 
section 1903(m) shall provide that the entity transmits to the State 
any address information for an individual enrolled with the entity that 
is provided to such entity directly from, or verified by such entity 
directly with, such individual.''.

SEC. 106. CODIFYING CERTAIN MEDICAID PROVIDER SCREENING REQUIREMENTS 
              RELATED TO DECEASED PROVIDERS.

    Section 1902(kk)(1) of the Social Security Act (42 U.S.C. 
1396a(kk)(1)) is amended--
            (1) by striking ``The State'' and inserting:
                    ``(A) In general.--The State''; and
            (2) by adding at the end the following new subparagraph:
                    ``(B) Additional provider screening.--Beginning 
                January 1, 2027, as part of the enrollment (or 
                reenrollment or revalidation of enrollment) of a 
                provider or supplier under this title, and not less 
                frequently than quarterly during the period that such 
                provider or supplier is so enrolled, the State conducts 
                a check of the Death Master File (as such term is 
                defined in section 203(d) of the Bipartisan Budget Act 
                of 2013) to determine whether such provider or supplier 
                is deceased.''.

SEC. 107. MODIFYING CERTAIN STATE REQUIREMENTS FOR ENSURING DECEASED 
              INDIVIDUALS DO NOT REMAIN ENROLLED.

    Section 1902 of the Social Security Act (42 U.S.C. 1396a), as 
previously amended by this title, is amended--
            (1) in subsection (a)--
                    (A) in paragraph (88), by striking ``; and'' and 
                inserting a semicolon;
                    (B) in paragraph (89), by striking the period at 
                the end and inserting ``; and''; and
                    (C) by inserting after paragraph (89) the following 
                new paragraph:
            ``(90) provide that the State shall comply with the 
        eligibility verification requirements under subsection (vv), 
        except that this paragraph shall apply only in the case of the 
        50 States and the District of Columbia.''; and
            (2) by adding at the end the following new subsection:
    ``(vv) Verification of Certain Eligibility Criteria.--
            ``(1) In general.--For purposes of subsection (a)(90), the 
        eligibility verification requirements, beginning January 1, 
        2026, are as follows:
                    ``(A) Quarterly screening to verify enrollee 
                status.--The State shall, not less frequently than 
                quarterly, review the Death Master File (as such term 
                is defined in section 203(d) of the Bipartisan Budget 
                Act of 2013) to determine whether any individuals 
                enrolled for medical assistance under the State plan 
                (or waiver of such plan) are deceased.
                    ``(B) Disenrollment under state plan.--If the State 
                determines, based on information obtained from the 
                Death Master File, that an individual enrolled for 
                medical assistance under the State plan (or waiver of 
                such plan) is deceased, the State shall--
                            ``(i) treat such information as factual 
                        information confirming the death of a 
                        beneficiary for purposes of section 431.213(a) 
                        of title 42, Code of Federal Regulations (or 
                        any successor regulation);
                            ``(ii) disenroll such individual from the 
                        State plan (or waiver of such plan); and
                            ``(iii) discontinue any payments for 
                        medical assistance under this title made on 
                        behalf of such individual (other than payments 
                        for any items or services furnished to such 
                        individual prior to the death of such 
                        individual).
                    ``(C) Reinstatement of coverage in the event of 
                error.--If a State determines that an individual was 
                misidentified as deceased based on information obtained 
                from the Death Master File, and was erroneously 
                disenrolled from medical assistance under the State 
                plan (or waiver of such plan) based on such 
                misidentification, the State shall immediately reenroll 
                such individual under the State plan (or waiver of such 
                plan), retroactive to the date of such disenrollment.
            ``(2) Rule of construction.--Nothing under this subsection 
        shall be construed to preclude the ability of a State to use 
        other electronic data sources to timely identify potentially 
        deceased beneficiaries, so long as the State is also in 
        compliance with the requirements of this subsection (and all 
        other requirements under this title relating to Medicaid 
        eligibility determination and redetermination).''.

SEC. 108. ONE-YEAR DELAY OF MEDICAID AND CHIP REQUIREMENTS FOR HEALTH 
              SCREENINGS, REFERRALS, AND CASE MANAGEMENT SERVICES FOR 
              ELIGIBLE JUVENILES IN PUBLIC INSTITUTIONS; STATE INTERIM 
              WORK PLANS.

    (a) In General.--Section 5121(d) of subtitle C of title V of 
division FF of the Consolidated Appropriations Act, 2023 (Public Law 
117-328) is amended--
            (1) by striking ``The amendments made by this section'' and 
        inserting the following:
            ``(1) In general.--Subject to paragraph (2), the amendments 
        made by this section''; and
            (2) by adding at the end the following new paragraph:
            ``(2) Delay of date by which states must comply with 
        certain juvenile justice-related requirements.--A State shall 
        not be regarded as failing to comply with the requirements of 
        section 1902(a)(84)(D) or 2102(d)(2) of the Social Security Act 
        (42 U.S.C. 1396a(a)(84)(D), 1397bb(d)(2)) before January 1, 
        2026.''.
    (b) Clarifying Nonapplication of Requirements to Individuals in 
Federal Custody.--
            (1) Medicaid.--
                    (A) Subparagraph (D) of section 1902(a)(84) of the 
                Social Security Act (42 U.S.C. 1396a(a)(84)), as added 
                by section 5121 of subtitle C of title V of division FF 
                of the Consolidated Appropriations Act, 2023 (Public 
                Law 117-328), is amended by striking ``an individual 
                who is an eligible juvenile'' and inserting ``an 
                individual (other than an individual who is in Federal 
                custody, including as an inmate in a Federal prison) 
                who is an eligible juvenile''.
                    (B) Section 5122(a) of subtitle C of title V of 
                division FF of the Consolidated Appropriations Act, 
                2023 (Public Law 117-328) is amended--
                            (i) by striking ``paragraph (31)'' each 
                        place it appears and inserting ``the last 
                        numbered paragraph''; and
                            (ii) in paragraph (1), by striking ``an 
                        individual who is an eligible juvenile'' and 
                        inserting ``an individual (other than an 
                        individual who is in Federal custody, including 
                        as an inmate in a Federal prison) who is an 
                        eligible juvenile''.
            (2) CHIP.--
                    (A) Subsection (d)(2) of section 2102 of the Social 
                Security Act (42 U.S.C. 1397bb), as added by section 
                5121 of subtitle C of title V of division FF of the 
                Consolidated Appropriations Act, 2023 (Public Law 117-
                328), is amended by striking ``a targeted low-income 
                child who'' and inserting ``a targeted low income child 
                (other than a child who is in Federal custody, 
                including as an inmate in a Federal prison) who''.
                    (B) Section 5122(b)(2) of subtitle C of title V of 
                division FF of the Consolidated Appropriations Act, 
                2023 (Public Law 117-328) is amended by striking ``a 
                child who is'' and inserting ``a child (other than a 
                child who is in Federal custody, including as an inmate 
                in a Federal prison) who is''.
            (3) Effective date.--The amendments made by this subsection 
        shall take effect as if enacted on December 29, 2022.
    (c) Interim Work Plan.--Not later than June 30, 2025, each State 
(as such term is defined in section 1101(a)(1) of the Social Security 
Act (42 U.S.C. 1301(a)(1)) for purposes of titles XIX and XXI of such 
Act) shall submit to the Secretary of Health and Human Services an 
interim work plan, in such form and containing such information as the 
Secretary may specify, describing the State's progress towards 
implementing, and its plans to come into compliance with, the 
requirements imposed by the amendments made by section 5121 of subtitle 
C of title V of division FF of the Consolidated Appropriations Act, 
2023 (Public Law 117-328), consistent with the guidance issued by the 
Centers for Medicare & Medicaid Services in State Health Official 
Letter #24-004 on July 23, 2024.

SEC. 109. STATE STUDIES AND HHS REPORT ON COSTS OF PROVIDING MATERNITY, 
              LABOR, AND DELIVERY SERVICES.

    (a) State Study.--
            (1) In general.--Not later than 24 months after the date of 
        enactment of this Act, and every 5 years thereafter, each State 
        (as such term is defined in section 1101(a)(1) of the Social 
        Security Act (42 U.S.C. 1301(a)(1)) for purposes of titles XIX 
        and XXI of such Act) shall conduct a study on the costs of 
        providing maternity, labor, and delivery services in applicable 
        hospitals (as defined in paragraph (3)) and submit the results 
        of such study to the Secretary of Health and Human Services 
        (referred to in this section as the ``Secretary'').
            (2) Content of study.--A State study required under 
        paragraph (1) shall include the following information (to the 
        extent practicable) with respect to maternity, labor, and 
        delivery services furnished by applicable hospitals located in 
        the State:
                    (A) An estimate of the cost of providing maternity, 
                labor, and delivery services at applicable hospitals, 
                based on the expenditures a representative sample of 
                such hospitals incurred for providing such services 
                during the 2 most recent years for which data is 
                available.
                    (B) An estimate of the cost of providing maternity, 
                labor, and delivery services at applicable hospitals 
                that ceased providing labor and delivery services 
                within the past 5 years, based on the expenditures a 
                representative sample of such hospitals incurred for 
                providing such services during the 2 most recent years 
                for which data is available.
                    (C) To the extent data allows, an analysis of the 
                extent to which geographic location, community 
                demographics, and local economic factors (as defined by 
                the Secretary) affect the cost of providing maternity, 
                labor, and delivery services at applicable hospitals, 
                including the cost of services that support the 
                provision of maternity, labor, and delivery services.
                    (D) The amounts applicable hospitals are paid for 
                maternity, labor, and delivery services, by geographic 
                location and hospital size, under--
                            (i) Medicare;
                            (ii) the State Medicaid program, including 
                        payment amounts for such services under fee-
                        for-service payment arrangements and under 
                        managed care (as applicable);
                            (iii) the State CHIP plan, including 
                        payment amounts for such services under fee-
                        for-service payment arrangements and under 
                        managed care (as applicable); and
                            (iv) private health insurance.
                    (E) A comparative payment rate analysis--
                            (i) comparing payment rates for maternity, 
                        labor, and delivery services (inclusive of all 
                        payments received by applicable hospitals for 
                        furnishing maternity, labor, and delivery 
                        services) under the State Medicaid fee-for-
                        service program to such payment rates for such 
                        services under Medicare (as described in 
                        section 447.203(b)(3) of title 42, Code of 
                        Federal Regulations), other Federally-funded or 
                        State-funded programs (including, to the extent 
                        data is available, Medicaid managed care 
                        rates), and to the payment rates for such 
                        services, to the extent data is available, of 
                        private health insurers within geographic areas 
                        of the State; and
                            (ii) analyzing different payment methods 
                        for such services, such as the use of bundled 
                        payments, quality incentives, and low-volume 
                        adjustments.
                    (F) An evaluation, using such methodology and 
                parameters established by the Secretary, of whether 
                each hospital located in the State that furnishes 
                maternity, labor, and delivery services is expected to 
                experience in the next 3 years significant changes in 
                particular expenditures or types of reimbursement for 
                maternity, labor, and delivery services.
            (3) Applicable hospital defined.--For purposes of this 
        subsection, the term ``applicable hospital'' means any hospital 
        located in a State that meets either of the following criteria:
                    (A) The hospital provides labor and delivery 
                services and more than 50 percent of the hospital's 
                births (in the most recent year for which such data is 
                available) are financed by the Medicaid program or 
                CHIP.
                    (B) The hospital--
                            (i) is located in a rural area (as defined 
                        by the Federal Office of Rural Health Policy 
                        for the purpose of rural health grant programs 
                        administered by such Office);
                            (ii) based on the most recent 2 years of 
                        data available (as determined by the 
                        Secretary), furnished services for less than an 
                        average of 300 births per year; and
                            (iii) provides labor and delivery services.
            (4) Assistance to small hospitals in compiling cost 
        information.--There are appropriated to the Secretary for 
        fiscal year 2025, $10,000,000 for the purpose of providing 
        grants and technical assistance to a hospital described in 
        paragraph (3)(B) to enable such hospital to compile detailed 
        information for use in the State studies required under 
        paragraph (1), to remain available until expended.
            (5) HHS report on state studies.--For each year in which a 
        State is required to conduct a study under paragraph (1), the 
        Secretary shall issue, not later than 12 months after the date 
        on which the State submits to the Secretary the data described 
        in such paragraph, a publicly available report that compiles 
        and details the results of such study and includes the 
        information described in paragraph (2).
    (b) HHS Report on National Data Collection Findings.--Not later 
than 3 years after the date of enactment of this Act, the Secretary 
shall submit to Congress, and make publicly available, a report 
analyzing the first studies conducted by States under subsection 
(a)(1), including recommendations for improving data collection on the 
cost of providing maternity, labor, and delivery services.
    (c) Implementation Funding.--In addition to the amount appropriated 
under subsection (a)(4), there are appropriated, out of any funds in 
the Treasury not otherwise obligated, $3,000,000 for fiscal year 2025, 
to remain available until expended, to the Secretary of Health and 
Human Services for purposes of implementing this section.

SEC. 110. MODIFYING CERTAIN DISPROPORTIONATE SHARE HOSPITAL ALLOTMENTS.

    (a) Extending Tennessee DSH Allotments.--Section 1923(f)(6)(A)(vi) 
of the Social Security Act (42 U.S.C. 1396r-4(f)(6)(A)(vi)) is 
amended--
            (1) in the heading, by striking ``2025'' and inserting 
        ``2026 and for the 1st quarter of fiscal year 2027'';
            (2) by striking ``fiscal year 2025'' and inserting ``fiscal 
        year 2026''; and
            (3) by inserting ``, and the DSH allotment for Tennessee 
        for the 1st quarter of fiscal year 2027, shall be $13,275,000'' 
        before the period.
    (b) Eliminating and Delaying DSH Allotment Reductions.--Section 
1923(f) of the Social Security Act (42 U.S.C. 1396r-4(f)) is amended--
            (1) in paragraph (7)(A)--
                    (A) in clause (i), in the matter preceding 
                subclause (I), by striking ``April 1, 2025,'' and all 
                that follows through ``2027'' and inserting ``January 
                1, 2027, and ending September 30, 2027, and for fiscal 
                year 2028''; and
                    (B) in clause (ii), by striking ``April 1, 2025,'' 
                and all that follows through ``2027'' and inserting 
                ``January 1, 2027, and ending September 30, 2027, and 
                for fiscal year 2028''; and
            (2) in paragraph (8), by striking ``2027'' and inserting 
        ``2028''.

SEC. 111. MODIFYING CERTAIN LIMITATIONS ON DISPROPORTIONATE SHARE 
              HOSPITAL PAYMENT ADJUSTMENTS UNDER THE MEDICAID PROGRAM.

    (a) In General.--Section 1923(g) of the Social Security Act (42 
U.S.C. 1396r-4(g)) is amended--
            (1) in paragraph (1)--
                    (A) in subparagraph (A)--
                            (i) in the matter preceding clause (i), by 
                        striking ``(other than a hospital described in 
                        paragraph (2)(B))'';
                            (ii) in clause (i), by inserting ``with 
                        respect to such hospital and year'' after 
                        ``described in subparagraph (B)''; and
                            (iii) in clause (ii)--
                                    (I) in subclause (I), by striking 
                                ``and'' at the end;
                                    (II) in subclause (II), by striking 
                                the period and inserting ``; and''; and
                                    (III) by adding at the end the 
                                following new subclause:
                                    ``(III) payments made under title 
                                XVIII or by an applicable plan (as 
                                defined in section 1862(b)(8)(F)) for 
                                such services.''; and
                    (B) in subparagraph (B)--
                            (i) in the matter preceding clause (i), by 
                        striking ``in this clause are'' and inserting 
                        ``in this subparagraph are, with respect to a 
                        hospital and a year,''; and
                            (ii) by adding at the end the following new 
                        clause:
                            ``(iii) Individuals who are eligible for 
                        medical assistance under the State plan or 
                        under a waiver of such plan and for whom the 
                        State plan or waiver is a payor for such 
                        services after application of benefits under 
                        title XVIII or under an applicable plan (as 
                        defined in section 1862(b)(8)(F)), but only if 
                        the hospital has in the aggregate incurred 
                        costs exceeding payments under such State plan, 
                        waiver, title XVIII, or applicable plan for 
                        such services furnished to such individuals 
                        during such year.'';
            (2) by striking paragraph (2);
            (3) by redesignating paragraph (3) as paragraph (2); and
            (4) in paragraph (2), as so redesignated, by striking 
        ``Notwithstanding paragraph (2) of this subsection (as in 
        effect on October 1, 2021), paragraph (2)'' and inserting 
        ``Paragraph (2)''.
    (b) Effective Date.--
            (1) In general.--Except as provided in paragraph (2), the 
        amendments made by this section shall apply to payment 
        adjustments made under section 1923 of the Social Security Act 
        (42 U.S.C. 1396r-4) for Medicaid State plan rate years 
        beginning on or after the date of enactment of this Act.
            (2) State option to distribute unspent dsh allotments from 
        prior years up to modified cap.--
                    (A) In general.--If, for any Medicaid State plan 
                rate year that begins on or after October 1, 2021, and 
                before the date of enactment of this Act, a State did 
                not spend the full amount of its Federal fiscal year 
                allotment under section 1923 of the Social Security Act 
                (42 U.S.C. 1396r-4) applicable to that State plan rate 
                year, the State may use the unspent portion of such 
                allotment to increase the amount of any payment 
                adjustment made to a hospital for such rate year, 
                provided that--
                            (i) such payment adjustment (as so 
                        increased) is consistent with subsection (g) of 
                        such section (as amended by this section); and
                            (ii) the total amount of all payment 
                        adjustments for the State plan rate year (as so 
                        increased) does not exceed the disproportionate 
                        share hospital allotment for the State and 
                        applicable Federal fiscal year under subsection 
                        (f) of such section.
                    (B) No recoupment of payments already made to 
                hospitals.--A State shall not recoup any payment 
                adjustment made by the State to a hospital for a 
                Medicaid State plan rate year described in subparagraph 
                (A) if such payment adjustment is consistent with 
                section 1923(g) of such Act (42 U.S.C. 1396r-4(g)) as 
                in effect on October 1, 2021.
                    (C) Authority to permit retroactive modification of 
                state plan amendments to allow for increases.--
                            (i) In general.--Subject to paragraph (2), 
                        solely for the purpose of allowing a State to 
                        increase the amount of a payment adjustment to 
                        a hospital for a Medicaid State plan rate year 
                        described in subparagraph (A) pursuant to this 
                        paragraph, a State may retroactively modify a 
                        provision of the Medicaid State plan, a waiver 
                        of such plan, or a State plan amendment that 
                        relates to such rate year and the Secretary may 
                        approve such modification.
                            (ii) Deadline.--A State may not submit a 
                        request for approval of a retroactive 
                        modification to a provision of the Medicaid 
                        State plan, a waiver of such plan, or a State 
                        plan amendment for a Medicaid State plan rate 
                        year after the date by which the State is 
                        required to submit the independent certified 
                        audit for that State plan rate year as required 
                        under section 1923(j)(2) of the Social Security 
                        Act (42 U.S.C. 1396r-4(j)(2)).
                    (D) Reporting.--If a State increases a payment 
                adjustment made to a hospital for a Medicaid State plan 
                rate year pursuant to this paragraph, the State shall 
                include information on such increased payment 
                adjustment as part of the next annual report submitted 
                by the State under section 1923(j)(1) of the Social 
                Security Act (42 U.S.C. 1396r-4(j)(1)).

SEC. 112. ENSURING ACCURATE PAYMENTS TO PHARMACIES UNDER MEDICAID.

    (a) In General.--Section 1927(f) of the Social Security Act (42 
U.S.C. 1396r-8(f)) is amended--
            (1) in paragraph (1)(A)--
                    (A) by redesignating clause (ii) as clause (iii); 
                and
                    (B) by striking ``and'' after the semicolon at the 
                end of clause (i) and all that precedes it through 
                ``(1)'' and inserting the following:
            ``(1) Determining pharmacy actual acquisition costs.--The 
        Secretary shall conduct a survey of retail community pharmacy 
        drug prices and applicable non-retail pharmacy drug prices to 
        determine national average drug acquisition cost benchmarks (as 
        such term is defined by the Secretary) as follows:
                    ``(A) Use of vendor.--The Secretary may contract 
                services for--
                            ``(i) with respect to retail community 
                        pharmacies, the determination of retail survey 
                        prices of the national average drug acquisition 
                        cost for covered outpatient drugs that 
                        represent a nationwide average of consumer 
                        purchase prices for such drugs, net of all 
                        discounts, rebates, and other price concessions 
                        (to the extent any information with respect to 
                        such discounts, rebates, and other price 
                        concessions is available) based on a monthly 
                        survey of such pharmacies; and
                            ``(ii) with respect to applicable non-
                        retail pharmacies--
                                    ``(I) the determination of survey 
                                prices, separate from the survey prices 
                                described in clause (i), of the non-
                                retail national average drug 
                                acquisition cost for covered outpatient 
                                drugs that represent a nationwide 
                                average of consumer purchase prices for 
                                such drugs, net of all discounts, 
                                rebates, and other price concessions 
                                (to the extent any information with 
                                respect to such discounts, rebates, and 
                                other price concessions is available) 
                                based on a monthly survey of such 
                                pharmacies; and
                                    ``(II) at the discretion of the 
                                Secretary, for each type of applicable 
                                non-retail pharmacy, the determination 
                                of survey prices, separate from the 
                                survey prices described in clause (i) 
                                or subclause (I) of this clause, of the 
                                national average drug acquisition cost 
                                for such type of pharmacy for covered 
                                outpatient drugs that represent a 
                                nationwide average of consumer purchase 
                                prices for such drugs, net of all 
                                discounts, rebates, and other price 
                                concessions (to the extent any 
                                information with respect to such 
                                discounts, rebates, and other price 
                                concessions is available) based on a 
                                monthly survey of such pharmacies; 
                                and'';
            (2) in subparagraph (B) of paragraph (1), by striking 
        ``subparagraph (A)(ii)'' and inserting ``subparagraph 
        (A)(iii)'';
            (3) in subparagraph (D) of paragraph (1), by striking 
        clauses (ii) and (iii) and inserting the following:
                            ``(ii) The vendor must update the Secretary 
                        no less often than monthly on the survey prices 
                        for covered outpatient drugs.
                            ``(iii) The vendor must differentiate, in 
                        collecting and reporting survey data, for all 
                        cost information collected, whether a pharmacy 
                        is a retail community pharmacy or an applicable 
                        non-retail pharmacy, including whether such 
                        pharmacy is an affiliate (as defined in 
                        subsection (k)(14)), and, in the case of an 
                        applicable non-retail pharmacy, which type of 
                        applicable non-retail pharmacy it is using the 
                        relevant pharmacy type indicators included in 
                        the guidance required by subsection (d)(2) of 
                        section 112 of the Health Improvements, 
                        Extenders, and Reauthorizations Act.'';
            (4) by adding at the end of paragraph (1) the following:
                    ``(F) Survey reporting.--In order to meet the 
                requirement of section 1902(a)(54), a State shall 
                require that any retail community pharmacy or 
                applicable non-retail pharmacy in the State that 
                receives any payment, reimbursement, administrative 
                fee, discount, rebate, or other price concession 
                related to the dispensing of covered outpatient drugs 
                to individuals receiving benefits under this title, 
                regardless of whether such payment, reimbursement, 
                administrative fee, discount, rebate, or other price 
                concession is received from the State or a managed care 
                entity or other specified entity (as such terms are 
                defined in section 1903(m)(9)(D)) directly or from a 
                pharmacy benefit manager or another entity that has a 
                contract with the State or a managed care entity or 
                other specified entity (as so defined), shall respond 
                to surveys conducted under this paragraph.
                    ``(G) Survey information.--Information on national 
                drug acquisition prices obtained under this paragraph 
                shall be made publicly available in a form and manner 
                to be determined by the Secretary and shall include at 
                least the following:
                            ``(i) The monthly response rate to the 
                        survey including a list of pharmacies not in 
                        compliance with subparagraph (F).
                            ``(ii) The sampling methodology and number 
                        of pharmacies sampled monthly.
                            ``(iii) Information on price concessions to 
                        pharmacies, including discounts, rebates, and 
                        other price concessions, to the extent that 
                        such information may be publicly released and 
                        has been collected by the Secretary as part of 
                        the survey.
                    ``(H) Penalties.--
                            ``(i) In general.--Subject to clauses (ii), 
                        (iii), and (iv), the Secretary shall enforce 
                        the provisions of this paragraph with respect 
                        to a pharmacy through the establishment of 
                        civil money penalties applicable to a retail 
                        community pharmacy or an applicable non-retail 
                        pharmacy.
                            ``(ii) Basis for penalties.--The Secretary 
                        shall impose a civil money penalty established 
                        under this subparagraph on a retail community 
                        pharmacy or applicable non-retail pharmacy if--
                                    ``(I) the retail pharmacy or 
                                applicable non-retail pharmacy refuses 
                                or otherwise fails to respond to a 
                                request for information about prices in 
                                connection with a survey under this 
                                subsection;
                                    ``(II) knowingly provides false 
                                information in response to such a 
                                survey; or
                                    ``(III) otherwise fails to comply 
                                with the requirements established under 
                                this paragraph.
                            ``(iii) Parameters for penalties.--
                                    ``(I) In general.--A civil money 
                                penalty established under this 
                                subparagraph may be assessed with 
                                respect to each violation, and with 
                                respect to each non-compliant retail 
                                community pharmacy (including a 
                                pharmacy that is part of a chain) or 
                                non-compliant applicable non-retail 
                                pharmacy (including a pharmacy that is 
                                part of a chain), in an amount not to 
                                exceed $100,000 for each such 
                                violation.
                                    ``(II) Considerations.--In 
                                determining the amount of a civil money 
                                penalty imposed under this 
                                subparagraph, the Secretary may 
                                consider the size, business structure, 
                                and type of pharmacy involved, as well 
                                as the type of violation and other 
                                relevant factors, as determined 
                                appropriate by the Secretary.
                            ``(iv) Rule of application.--The provisions 
                        of section 1128A (other than subsections (a) 
                        and (b)) shall apply to a civil money penalty 
                        under this subparagraph in the same manner as 
                        such provisions apply to a civil money penalty 
                        or proceeding under section 1128A(a).
                    ``(I) Limitation on use of applicable non-retail 
                pharmacy pricing information.--No State shall use 
                pricing information reported by applicable non-retail 
                pharmacies under subparagraph (A)(ii) to develop or 
                inform payment methodologies for retail community 
                pharmacies.'';
            (5) in paragraph (2)--
                    (A) in subparagraph (A), by inserting ``, including 
                payment rates and methodologies for determining 
                ingredient cost reimbursement under managed care 
                entities or other specified entities (as such terms are 
                defined in section 1903(m)(9)(D)),'' after ``under this 
                title''; and
                    (B) in subparagraph (B), by inserting ``and the 
                basis for such dispensing fees'' before the semicolon;
            (6) by redesignating paragraph (4) as paragraph (5);
            (7) by inserting after paragraph (3) the following new 
        paragraph:
            ``(4) Oversight.--
                    ``(A) In general.--The Inspector General of the 
                Department of Health and Human Services shall conduct 
                periodic studies of the survey data reported under this 
                subsection, as appropriate, including with respect to 
                substantial variations in acquisition costs or other 
                applicable costs, as well as with respect to how 
                internal transfer prices and related party transactions 
                may influence the costs reported by pharmacies that are 
                affiliates (as defined in subsection (k)(14)) or are 
                owned by, controlled by, or related under a common 
                ownership structure with a wholesaler, distributor, or 
                other entity that acquires covered outpatient drugs 
                relative to costs reported by pharmacies not affiliated 
                with such entities. The Inspector General shall provide 
                periodic updates to Congress on the results of such 
                studies, as appropriate, in a manner that does not 
                disclose trade secrets or other proprietary 
                information.
                    ``(B) Appropriation.--There is appropriated to the 
                Inspector General of the Department of Health and Human 
                Services, out of any money in the Treasury not 
                otherwise appropriated, $5,000,000 for fiscal year 
                2025, to remain available until expended, to carry out 
                this paragraph.''; and
            (8) in paragraph (5), as so redesignated--
                    (A) by inserting ``, and $9,000,000 for fiscal year 
                2025 and each fiscal year thereafter,'' after ``2010''; 
                and
                    (B) by inserting ``Funds appropriated under this 
                paragraph for fiscal year 2025 and any subsequent 
                fiscal year shall remain available until expended.'' 
                after the period.
    (b) Definitions.--Section 1927(k) of the Social Security Act (42 
U.S.C. 1396r-8(k)) is amended--
            (1) in the matter preceding paragraph (1), by striking ``In 
        the section'' and inserting ``In this section''; and
            (2) by adding at the end the following new paragraphs:
            ``(12) Applicable non-retail pharmacy.--The term 
        `applicable non-retail pharmacy' means a pharmacy that is 
        licensed as a pharmacy by the State and that is not a retail 
        community pharmacy, including a pharmacy that dispenses 
        prescription medications to patients primarily through mail and 
        specialty pharmacies. Such term does not include nursing home 
        pharmacies, long-term care facility pharmacies, hospital 
        pharmacies, clinics, charitable or not-for-profit pharmacies, 
        government pharmacies, or low dispensing pharmacies (as defined 
        by the Secretary).
            ``(13) Affiliate.--The term `affiliate' means any entity 
        that is owned by, controlled by, or related under a common 
        ownership structure with a pharmacy benefit manager or a 
        managed care entity or other specified entity (as such terms 
        are defined in section 1903(m)(9)(D)).''.
    (c) Effective Date.--
            (1) In general.--Subject to paragraph (2), the amendments 
        made by this section shall take effect on the first day of the 
        first quarter that begins on or after the date that is 6 months 
        after the date of enactment of this Act.
            (2) Delayed application to applicable non-retail 
        pharmacies.--The pharmacy survey requirements established by 
        the amendments to section 1927(f) of the Social Security Act 
        (42 U.S.C. 1396r-8(f)) made by this section shall apply to 
        retail community pharmacies beginning on the effective date 
        described in paragraph (1), but shall not apply to applicable 
        non-retail pharmacies until the first day of the first quarter 
        that begins on or after the date that is 18 months after the 
        date of enactment of this Act.
    (d) Identification of Applicable Non-Retail Pharmacies.--
            (1) In general.--Not later than January 1, 2026, the 
        Secretary of Health and Human Services shall, in consultation 
        with stakeholders as appropriate, publish guidance specifying 
        pharmacies that meet the definition of applicable non-retail 
        pharmacies (as such term is defined in subsection (k)(12) of 
        section 1927 of the Social Security Act (42 U.S.C. 1396r-8), as 
        added by subsection (b)), and that will be subject to the 
        survey requirements under subsection (f)(1) of such section, as 
        amended by subsection (a).
            (2) Inclusion of pharmacy type indicators.--The guidance 
        published under paragraph (1) shall include pharmacy type 
        indicators to distinguish between different types of applicable 
        non-retail pharmacies, such as pharmacies that dispense 
        prescriptions primarily through the mail and pharmacies that 
        dispense prescriptions that require special handling or 
        distribution. An applicable non-retail pharmacy may be 
        identified through multiple pharmacy type indicators.
    (e) Implementation.--
            (1) In general.--Notwithstanding any other provision of 
        law, the Secretary of Health and Human Services may implement 
        the amendments made by this section by program instruction or 
        otherwise.
            (2) Nonapplication of administrative procedure act.--
        Implementation of the amendments made by this section shall be 
        exempt from the requirements of section 553 of title 5, United 
        States Code.
    (f) Nonapplication of Paperwork Reduction Act.--Chapter 35 of title 
44, United States Code, shall not apply to any data collection 
undertaken by the Secretary of Health and Human Services under section 
1927(f) of the Social Security Act (42 U.S.C. 1396r-8(f)), as amended 
by this section.

SEC. 113. PREVENTING THE USE OF ABUSIVE SPREAD PRICING IN MEDICAID.

    (a) In General.--Section 1927 of the Social Security Act (42 U.S.C. 
1396r-8) is amended--
            (1) in subsection (e), by adding at the end the following 
        new paragraph:
            ``(6) Transparent prescription drug pass-through pricing 
        required.--
                    ``(A) In general.--A contract between the State and 
                a pharmacy benefit manager (referred to in this 
                paragraph as a `PBM'), or a contract between the State 
                and a managed care entity or other specified entity (as 
                such terms are defined in section 1903(m)(9)(D) and 
                collectively referred to in this paragraph as the 
                `entity') that includes provisions making the entity 
                responsible for coverage of covered outpatient drugs 
                dispensed to individuals enrolled with the entity, 
                shall require that payment for such drugs and related 
                administrative services (as applicable), including 
                payments made by a PBM on behalf of the State or 
                entity, is based on a transparent prescription drug 
                pass-through pricing model under which--
                            ``(i) any payment made by the entity or the 
                        PBM (as applicable) for such a drug--
                                    ``(I) is limited to--
                                            ``(aa) ingredient cost; and
                                            ``(bb) a professional 
                                        dispensing fee that is not less 
                                        than the professional 
                                        dispensing fee that the State 
                                        would pay if the State were 
                                        making the payment directly in 
                                        accordance with the State plan;
                                    ``(II) is passed through in its 
                                entirety (except as reduced under 
                                Federal or State laws and regulations 
                                in response to instances of waste, 
                                fraud, or abuse) by the entity or PBM 
                                to the pharmacy or provider that 
                                dispenses the drug; and
                                    ``(III) is made in a manner that is 
                                consistent with sections 447.502, 
                                447.512, 447.514, and 447.518 of title 
                                42, Code of Federal Regulations (or any 
                                successor regulation) as if such 
                                requirements applied directly to the 
                                entity or the PBM, except that any 
                                payment by the entity or the PBM for 
                                the ingredient cost of such drug 
                                purchased by a covered entity (as 
                                defined in subsection (a)(5)(B)) may 
                                exceed the actual acquisition cost (as 
                                defined in 447.502 of title 42, Code of 
                                Federal Regulations, or any successor 
                                regulation) for such drug if--
                                            ``(aa) such drug was 
                                        subject to an agreement under 
                                        section 340B of the Public 
                                        Health Service Act;
                                            ``(bb) such payment for the 
                                        ingredient cost of such drug 
                                        does not exceed the maximum 
                                        payment that would have been 
                                        made by the entity or the PBM 
                                        for the ingredient cost of such 
                                        drug if such drug had not been 
                                        purchased by such covered 
                                        entity; and
                                            ``(cc) such covered entity 
                                        reports to the Secretary (in a 
                                        form and manner specified by 
                                        the Secretary), on an annual 
                                        basis and with respect to 
                                        payments for the ingredient 
                                        costs of such drugs so 
                                        purchased by such covered 
                                        entity that are in excess of 
                                        the actual acquisition costs 
                                        for such drugs, the aggregate 
                                        amount of such excess;
                            ``(ii) payment to the entity or the PBM (as 
                        applicable) for administrative services 
                        performed by the entity or PBM is limited to an 
                        administrative fee that reflects the fair 
                        market value (as defined by the Secretary) of 
                        such services;
                            ``(iii) the entity or the PBM (as 
                        applicable) makes available to the State, and 
                        the Secretary upon request in a form and manner 
                        specified by the Secretary, all costs and 
                        payments related to covered outpatient drugs 
                        and accompanying administrative services (as 
                        described in clause (ii)) incurred, received, 
                        or made by the entity or the PBM, broken down 
                        (as specified by the Secretary), to the extent 
                        such costs and payments are attributable to an 
                        individual covered outpatient drug, by each 
                        such drug, including any ingredient costs, 
                        professional dispensing fees, administrative 
                        fees (as described in clause (ii)), post-sale 
                        and post-invoice fees, discounts, or related 
                        adjustments such as direct and indirect 
                        remuneration fees, and any and all other 
                        remuneration, as defined by the Secretary; and
                            ``(iv) any form of spread pricing whereby 
                        any amount charged or claimed by the entity or 
                        the PBM (as applicable) that exceeds the amount 
                        paid to the pharmacies or providers on behalf 
                        of the State or entity, including any post-sale 
                        or post-invoice fees, discounts, or related 
                        adjustments such as direct and indirect 
                        remuneration fees or assessments, as defined by 
                        the Secretary, (after allowing for an 
                        administrative fee as described in clause (ii)) 
                        is not allowable for purposes of claiming 
                        Federal matching payments under this title.
                    ``(B) Publication of information.--The Secretary 
                shall publish, not less frequently than on an annual 
                basis and in a manner that does not disclose the 
                identity of a particular covered entity or 
                organization, information received by the Secretary 
                pursuant to subparagraph (A)(i)(III)(cc) that is broken 
                out by State and by each of the following categories of 
                covered entity within each such State:
                            ``(i) Covered entities described in 
                        subparagraph (A) of section 340B(a)(4) of the 
                        Public Health Service Act.
                            ``(ii) Covered entities described in 
                        subparagraphs (B) through (K) of such section.
                            ``(iii) Covered entities described in 
                        subparagraph (L) of such section.
                            ``(iv) Covered entities described in 
                        subparagraph (M) of such section.
                            ``(v) Covered entities described in 
                        subparagraph (N) of such section.
                            ``(vi) Covered entities described in 
                        subparagraph (O) of such section.''; and
            (2) in subsection (k), as previously amended by this title, 
        by adding at the end the following new paragraph:
            ``(14) Pharmacy benefit manager.--The term `pharmacy 
        benefit manager' means any person or entity that, either 
        directly or through an intermediary, acts as a price negotiator 
        or group purchaser on behalf of a State, managed care entity 
        (as defined in section 1903(m)(9)(D)), or other specified 
        entity (as so defined), or manages the prescription drug 
        benefits provided by a State, managed care entity, or other 
        specified entity, including the processing and payment of 
        claims for prescription drugs, the performance of drug 
        utilization review, the processing of drug prior authorization 
        requests, the managing of appeals or grievances related to the 
        prescription drug benefits, contracting with pharmacies, 
        controlling the cost of covered outpatient drugs, or the 
        provision of services related thereto. Such term includes any 
        person or entity that acts as a price negotiator (with regard 
        to payment amounts to pharmacies and providers for a covered 
        outpatient drug or the net cost of the drug) or group purchaser 
        on behalf of a State, managed care entity, or other specified 
        entity or that carries out 1 or more of the other activities 
        described in the preceding sentence, irrespective of whether 
        such person or entity calls itself a pharmacy benefit 
        manager.''.
    (b) Conforming Amendments.--Section 1903(m) of such Act (42 U.S.C. 
1396b(m)) is amended--
            (1) in paragraph (2)(A)(xiii)--
                    (A) by striking ``and (III)'' and inserting 
                ``(III)'';
                    (B) by inserting before the period at the end the 
                following: ``, and (IV) if the contract includes 
                provisions making the entity responsible for coverage 
                of covered outpatient drugs, the entity shall comply 
                with the requirements of section 1927(e)(6)''; and
                    (C) by moving the margin 2 ems to the left; and
            (2) by adding at the end the following new paragraph:
            ``(10) No payment shall be made under this title to a State 
        with respect to expenditures incurred by the State for payment 
        for services provided by an other specified entity (as defined 
        in paragraph (9)(D)(iii)) unless such services are provided in 
        accordance with a contract between the State and such entity 
        which satisfies the requirements of paragraph (2)(A)(xiii).''.
    (c) Effective Date.--The amendments made by this section shall 
apply to contracts between States and managed care entities, other 
specified entities, or pharmacy benefit managers that have an effective 
date beginning on or after the date that is 18 months after the date of 
enactment of this Act.
    (d) Implementation.--
            (1) In general.--Notwithstanding any other provision of 
        law, the Secretary of Health and Human Services may implement 
        the amendments made by this section by program instruction or 
        otherwise.
            (2) Nonapplication of administrative procedure act.--
        Implementation of the amendments made by this section shall be 
        exempt from the requirements of section 553 of title 5, United 
        States Code.
    (e) Nonapplication of Paperwork Reduction Act.--Chapter 35 of title 
44, United States Code, shall not apply to any data collection 
undertaken by the Secretary of Health and Human Services under section 
1927(e) of the Social Security Act (42 U.S.C. 1396r-8(e)), as amended 
by this section.

                           TITLE II--MEDICARE

SEC. 201. EXTENSION OF INCREASED INPATIENT HOSPITAL PAYMENT ADJUSTMENT 
              FOR CERTAIN LOW-VOLUME HOSPITALS.

    (a) In General.--Section 1886(d)(12) of the Social Security Act (42 
U.S.C. 1395ww(d)(12)) is amended--
            (1) in subparagraph (B), in the matter preceding clause 
        (i), by striking ``fiscal year 2025 beginning on April 1, 2025, 
        and ending on September 30, 2025, and in fiscal year 2026'' and 
        inserting ``fiscal year 2026 beginning on January 1, 2026, and 
        ending on September 30, 2026, and in fiscal year 2027'';
            (2) in subparagraph (C)(i)--
                    (A) in the matter preceding subclause (I)--
                            (i) by striking ``through 2024'' and 
                        inserting ``through 2025'';
                            (ii) by striking ``fiscal year 2025'' and 
                        inserting ``fiscal year 2026'';
                            (iii) by striking ``October 1, 2024'' and 
                        inserting ``October 1, 2025''; and
                            (iv) by striking ``March 31, 2025'' and 
                        inserting ``December 31, 2025'';
                    (B) in subclause (III)--
                            (i) by striking ``through 2024'' and 
                        inserting ``through 2025'';
                            (ii) by striking ``fiscal year 2025'' and 
                        inserting ``fiscal year 2026'';
                            (iii) by striking ``October 1, 2024'' and 
                        inserting ``October 1, 2025''; and
                            (iv) by striking ``March 31, 2025'' and 
                        inserting ``December 31, 2025''; and
                    (C) in subclause (IV)--
                            (i) by striking ``fiscal year 2025'' and 
                        inserting ``fiscal year 2026'';
                            (ii) by striking ``April 1, 2025'' and 
                        inserting ``January 1, 2026'';
                            (iii) by striking ``September 30, 2025'' 
                        and inserting ``September 30, 2026''; and
                            (iv) by striking ``fiscal year 2026'' and 
                        inserting ``fiscal year 2027''; and
            (3) in subparagraph (D)--
                    (A) in the matter preceding clause (i)--
                            (i) by striking ``through 2024'' and 
                        inserting ``through 2025'';
                            (ii) by striking ``fiscal year 2025'' and 
                        inserting ``fiscal year 2026'';
                            (iii) by striking ``October 1, 2024'' and 
                        inserting ``October 1, 2025''; and
                            (iv) by striking ``March 31, 2025'' and 
                        inserting ``December 31, 2025''; and
                    (B) in clause (ii)--
                            (i) by striking ``through 2024'' and 
                        inserting ``through 2025'';
                            (ii) by striking ``fiscal year 2025'' and 
                        inserting ``fiscal year 2026'';
                            (iii) by striking ``October 1, 2024'' and 
                        inserting ``October 1, 2025''; and
                            (iv) by striking ``March 31, 2025'' and 
                        inserting ``December 31, 2025''.
    (b) Implementation.--Notwithstanding any other provision of law, 
the Secretary of Health and Human Services may implement the amendments 
made by this section by program instruction or otherwise.

SEC. 202. EXTENSION OF THE MEDICARE-DEPENDENT HOSPITAL (MDH) PROGRAM.

    (a) In General.--Section 1886(d)(5)(G) of the Social Security Act 
(42 U.S.C. 1395ww(d)(5)(G)) is amended--
            (1) in clause (i), by striking ``April 1, 2025'' and 
        inserting ``January 1, 2026''; and
            (2) in clause (ii)(II), by striking ``April 1, 2025'' and 
        inserting ``January 1, 2026''.
    (b) Conforming Amendments.--
            (1) In general.--Section 1886(b)(3)(D) of the Social 
        Security Act (42 U.S.C. 1395ww(b)(3)(D)) is amended--
                    (A) in the matter preceding clause (i), by striking 
                ``April 1, 2025'' and inserting ``January 1, 2026''; 
                and
                    (B) in clause (iv)--
                            (i) by striking ``fiscal year 2024'' and 
                        inserting ``fiscal year 2025'';
                            (ii) by striking ``fiscal year 2025'' and 
                        inserting ``fiscal year 2026'';
                            (iii) by striking ``October 1, 2024'' and 
                        inserting ``October 1, 2025''; and
                            (iv) by striking ``March 31, 2025'' and 
                        inserting ``December 31, 2025''.
            (2) Permitting hospitals to decline reclassification.--
        Section 13501(e)(2) of the Omnibus Budget Reconciliation Act of 
        1993 (42 U.S.C. 1395ww note) is amended--
                    (A) by striking ``through 2024'' and inserting 
                ``through 2025'';
                    (B) by striking ``fiscal year 2025'' and inserting 
                ``fiscal year 2026'';
                    (C) by striking ``October 1, 2024'' and inserting 
                ``October 1, 2025''; and
                    (D) by striking ``March 31, 2025'' and inserting 
                ``December 31, 2025''.

SEC. 203. EXTENSION OF ADD-ON PAYMENTS FOR AMBULANCE SERVICES.

    Section 1834(l) of the Social Security Act (42 U.S.C. 1395m(l)) is 
amended--
            (1) in paragraph (12)(A), by striking ``April 1, 2025'' and 
        inserting ``January 1, 2027''; and
            (2) in paragraph (13), by striking ``April 1, 2025'' each 
        place it appears and inserting ``January 1, 2027'' in each such 
        place.

SEC. 204. EXTENDING INCENTIVE PAYMENTS FOR PARTICIPATION IN ELIGIBLE 
              ALTERNATIVE PAYMENT MODELS.

    (a) In General.--Section 1833(z) of the Social Security Act (42 
U.S.C. 1395l(z)) is amended--
            (1) in paragraph (1)(A)--
                    (A) by striking ``with 2026'' and inserting ``with 
                2027''; and
                    (B) by inserting ``, or, with respect to 2027, 3.53 
                percent'' after ``1.88 percent'';
            (2) in paragraph (2)--
                    (A) in subparagraph (B)--
                            (i) in the heading, by striking ``2026'' 
                        and inserting ``2027''; and
                            (ii) in the matter preceding clause (i), by 
                        striking ``2026'' and inserting ``2027'';
                    (B) in subparagraph (C)--
                            (i) in the heading, by striking ``2027'' 
                        and inserting ``2028''; and
                            (ii) in the matter preceding clause (i), by 
                        striking ``2027'' and inserting ``2028''; and
                    (C) in subparagraph (D), by striking ``and 2026'' 
                and inserting ``2026, and 2027''; and
            (3) in paragraph (4)(B), by inserting ``or, with respect to 
        2027, 3.53 percent'' after ``1.88 percent''.
    (b) Conforming Amendments.--Section 1848(q)(1)(C)(iii) of the 
Social Security Act (42 U.S.C. 1395w-4(q)(1)(C)(iii)) is amended--
            (1) in subclause (II), by striking ``2026'' and inserting 
        ``2027''; and
            (2) in subclause (III), by striking ``2027'' and inserting 
        ``2028''.

SEC. 205. TEMPORARY PAYMENT INCREASE UNDER THE MEDICARE PHYSICIAN FEE 
              SCHEDULE TO ACCOUNT FOR EXCEPTIONAL CIRCUMSTANCES.

    (a) In General.--Section 1848(t)(1) of the Social Security Act (42 
U.S.C. 1395w-4(t)(1)) is amended--
            (1) in subparagraph (D), by striking ``and'' at the end;
            (2) in subparagraph (E), by striking the period at the end 
        and inserting ``; and''; and
            (3) by adding at the end the following new subparagraph:
                    ``(F) such services furnished on or after January 
                1, 2025, and before January 1, 2026, by 2.5 percent.''.
    (b) Conforming Amendment.--Section 1848(c)(2)(B)(iv)(V) is amended 
by striking ``or 2024'' and inserting ``2024, or 2025''.

SEC. 206. EXTENSION OF FUNDING FOR QUALITY MEASURE ENDORSEMENT, INPUT, 
              AND SELECTION.

    Section 1890(d)(2) of the Social Security Act (42 U.S.C. 
1395aaa(d)(2)) is amended--
            (1) in the first sentence--
                    (A) by striking ``$11,030,000'' and inserting 
                ``$20,030,000''; and
                    (B) by striking ``March 31'' and inserting 
                ``December 31''; and
            (2) in the third sentence, by striking ``March 31'' and 
        inserting ``December 31''.

SEC. 207. EXTENSION OF FUNDING OUTREACH AND ASSISTANCE FOR LOW-INCOME 
              PROGRAMS.

    (a) State Health Insurance Assistance Programs.--Subsection 
(a)(1)(B) of section 119 of the Medicare Improvements for Patients and 
Providers Act of 2008 (42 U.S.C. 1395b-3 note) is amended--
            (1) in clause (xiii), by striking ``and'' at the end;
            (2) in clause (xiv), by striking the period and inserting 
        ``; and''; and
            (3) by inserting after clause (xiv) the following new 
        clause:
                            ``(xv) for the period beginning on April 1, 
                        2025, and ending on December 31, 2026, 
                        $30,000,000.''.
    (b) Area Agencies on Aging.--Subsection (b)(1)(B) of such section 
119 is amended--
            (1) in clause (xiii), by striking ``and'' at the end;
            (2) in clause (xiv), by striking the period and inserting 
        ``; and''; and
            (3) by inserting after clause (xiv) the following new 
        clause:
                            ``(xv) for the period beginning on April 1, 
                        2025, and ending on December 31, 2026, 
                        $30,000,000.''.
    (c) Aging and Disability Resource Centers.--Subsection (c)(1)(B) of 
such section 119 is amended--
            (1) in clause (xiii), by striking ``and'' at the end;
            (2) in clause (xiv), by striking the period and inserting 
        ``; and''; and
            (3) by inserting after clause (xiv) the following new 
        clause:
                            ``(xv) for the period beginning on April 1, 
                        2025, and ending on December 31, 2026, 
                        $10,000,000.''.
    (d) Coordination of Efforts To Inform Older Americans About 
Benefits Available Under Federal and State Programs.--Subsection (d)(2) 
of such section 119 is amended--
            (1) in clause (xiii), by striking ``and'' at the end;
            (2) in clause (xiv), by striking the period and inserting 
        ``; and''; and
            (3) by inserting after clause (xiv) the following new 
        clause:
                            ``(xv) for the period beginning on April 1, 
                        2025, and ending on December 31, 2026, 
                        $30,000,000.''.

SEC. 208. EXTENSION OF THE WORK GEOGRAPHIC INDEX FLOOR.

    Section 1848(e)(1)(E) of the Social Security Act (42 U.S.C. 1395w-
4(e)(1)(E)) is amended by striking ``April 1, 2025'' and inserting 
``January 1, 2026''.

SEC. 209. EXTENSION OF CERTAIN TELEHEALTH FLEXIBILITIES.

    (a) Removing Geographic Requirements and Expanding Originating 
Sites for Telehealth Services.--Section 1834(m) of the Social Security 
Act (42 U.S.C. 1395m(m)) is amended--
            (1) in paragraph (2)(B)(iii), by striking ``ending March 
        31, 2025'' and inserting ``ending December 31, 2026''; and
            (2) in paragraph (4)(C)(iii), by striking ``ending on March 
        31, 2025'' and inserting ``ending on December 31, 2026''.
    (b) Expanding Practitioners Eligible To Furnish Telehealth 
Services.--Section 1834(m)(4)(E) of the Social Security Act (42 U.S.C. 
1395m(m)(4)(E)) is amended by striking ``ending on March 31, 2025'' and 
inserting ``ending on December 31, 2026''.
    (c) Extending Telehealth Services for Federally Qualified Health 
Centers and Rural Health Clinics.--Section 1834(m)(8) of the Social 
Security Act (42 U.S.C. 1395m(m)(8)) is amended--
            (1) in subparagraph (A), by striking ``ending on March 31, 
        2025'' and inserting ``ending on December 31, 2026'';
            (2) in subparagraph (B)--
                    (A) in the subparagraph heading, by inserting 
                ``before 2025'' after ``rule'';
                    (B) in clause (i), by striking ``during the periods 
                for which subparagraph (A) applies'' and inserting 
                ``before January 1, 2025''; and
                    (C) in clause (ii), by inserting ``furnished to an 
                eligible telehealth individual before January 1, 2025'' 
                after ``telehealth services''; and
            (3) by adding at the end the following new subparagraph:
                    ``(C) Payment rule for 2025 and 2026.--
                            ``(i) In general.--A telehealth service 
                        furnished to an eligible telehealth individual 
                        by a Federally qualified health center or rural 
                        health clinic on or after January 1, 2025, and 
                        before January 1, 2027, shall be paid as a 
                        Federally qualified health center service or 
                        rural health clinic service (as applicable) 
                        under the prospective payment system 
                        established under section 1834(o) or the 
                        methodology for all-inclusive rates established 
                        under section 1833(a)(3), respectively.
                            ``(ii) Treatment of costs.--Costs 
                        associated with the furnishing of telehealth 
                        services by a Federally qualified health center 
                        or rural health clinic on or after January 1, 
                        2025, and before January 1, 2027, shall be 
                        considered allowable costs for purposes of the 
                        prospective payment system established under 
                        section 1834(o) and the methodology for all-
                        inclusive rates established under section 
                        1833(a)(3), as applicable.
                            ``(iii) Requiring modifiers.--Not later 
                        than July 1, 2025, the Secretary shall 
                        establish requirements to include 1 or more 
                        codes or modifiers, as determined appropriate 
                        by the Secretary, in the case of claims for 
                        telehealth services furnished to an eligible 
                        telehealth individual by a Federally qualified 
                        health center or rural health clinic.''.
    (d) Delaying the In-Person Requirements Under Medicare for Mental 
Health Services Furnished Through Telehealth and Telecommunications 
Technology.--
            (1) Delay in requirements for mental health services 
        furnished through telehealth.--Section 1834(m)(7)(B)(i) of the 
        Social Security Act (42 U.S.C. 1395m(m)(7)(B)(i)) is amended, 
        in the matter preceding subclause (I), by striking ``on or 
        after April 1, 2025'' and inserting ``on or after January 1, 
        2027''.
            (2) Mental health visits furnished by rural health 
        clinics.--Section 1834(y)(2) of the Social Security Act (42 
        U.S.C. 1395m(y)(2)) is amended by striking ``April 1, 2025'' 
        and inserting ``January 1, 2027''.
            (3) Mental health visits furnished by federally qualified 
        health centers.--Section 1834(o)(4)(B) of the Social Security 
        Act (42 U.S.C. 1395m(o)(4)(B)) is amended by striking ``April 
        1, 2025'' and inserting ``January 1, 2027.''.
    (e) Allowing for the Furnishing of Audio-Only Telehealth 
Services.--Section 1834(m)(9) of the Social Security Act (42 U.S.C. 
1395m(m)(9)) is amended by striking ``ending on March 31, 2025'' and 
inserting ``ending on December 31, 2026''.
    (f) Extending Use of Telehealth To Conduct Face-to-Face Encounter 
Prior to Recertification of Eligibility for Hospice Care.--Section 
1814(a)(7)(D)(i)(II) of the Social Security Act (42 U.S.C. 
1395f(a)(7)(D)(i)(II)) is amended--
            (1) by striking ``ending on March 31, 2025'' and inserting 
        ``ending on December 31, 2026''; and
            (2) by inserting ``, except that this subclause shall not 
        apply in the case of such an encounter with an individual 
        occurring on or after January 1, 2025, if such individual is 
        located in an area that is subject to a moratorium on the 
        enrollment of hospice programs under this title pursuant to 
        section 1866(j)(7), if such individual is receiving hospice 
        care from a provider that is subject to enhanced oversight 
        under this title pursuant to section 1866(j)(3), or if such 
        encounter is performed by a hospice physician or nurse 
        practitioner who is not enrolled under section 1866(j) and is 
        not an opt-out physician or practitioner (as defined in section 
        1802(b)(6)(D))'' before the semicolon.
    (g) Requiring Modifiers for Telehealth Services in Certain 
Instances.--Section 1834(m) of the Social Security Act (42 U.S.C. 
1395m(m)) is amended by adding at the end the following new paragraph:
            ``(10) Required use of modifiers in certain instances.--Not 
        later than January 1, 2026, the Secretary shall establish 
        requirements to include 1 or more codes or modifiers, as 
        determined appropriate by the Secretary, in the case of--
                    ``(A) claims for telehealth services under this 
                subsection that are furnished through a telehealth 
                virtual platform--
                            ``(i) by a physician or practitioner that 
                        contracts with an entity that owns such virtual 
                        platform; or
                            ``(ii) for which a physician or 
                        practitioner has a payment arrangement with an 
                        entity for use of such virtual platform; and
                    ``(B) claims for telehealth services under this 
                subsection that are furnished incident to a physician's 
                or practitioner's professional service.''.
    (h) Program Instruction Authority.--The Secretary of Health and 
Human Services may implement the amendments made by this section 
through program instruction or otherwise.

SEC. 210. REQUIRING MODIFIER FOR USE OF TELEHEALTH TO CONDUCT FACE-TO-
              FACE ENCOUNTER PRIOR TO RECERTIFICATION OF ELIGIBILITY 
              FOR HOSPICE CARE.

    Section 1814(a)(7)(D)(i)(II) of the Social Security Act (42 U.S.C. 
1395f(a)(7)(D)(i)(II)), as amended by section 209(f) of the Health 
Improvements, Extenders, and Reauthorizations Act, is further amended 
by inserting ``, but only if, in the case of such an encounter 
occurring on or after January 1, 2026, any hospice claim includes 1 or 
more modifiers or codes (as specified by the Secretary) to indicate 
that such encounter was conducted via telehealth'' after ``as 
determined appropriate by the Secretary''.

SEC. 211. EXTENDING ACUTE HOSPITAL CARE AT HOME WAIVER FLEXIBILITIES.

    Section 1866G of the Social Security Act (42 U.S.C. 1395cc-7) is 
amended--
            (1) in the section heading, by inserting ``the thomas r. 
        carper, tim scott, brad r. wenstrup, d.p.m., and earl 
        blumenauer'' after ``extension of'';
            (2) in subsection (a)--
                    (A) in paragraph (1)--
                            (i) by striking ``March 31, 2025'' and 
                        inserting ``December 31, 2029''; and
                            (ii) by striking ``in the Acute Hospital 
                        Care at Home initiative of the Secretary'' and 
                        inserting ``in the Thomas R. Carper, Tim Scott, 
                        Brad R. Wenstrup, D.P.M., and Earl Blumenauer 
                        Acute Hospital Care at Home initiative of the 
                        Secretary (in this section referred to as the 
                        `Acute Hospital Care at Home initiative')'';
                    (B) in paragraph (2), by striking ``of the 
                Secretary''; and
                    (C) in paragraph (3)(E), by adding at the end the 
                following new flush sentence:
                ``The Secretary may require that such data and 
                information be submitted through a hospital's cost 
                report, through such survey instruments as the 
                Secretary may develop, through medical record 
                information, or through such other means as the 
                Secretary determines appropriate.'';
            (3) in subsection (b)--
                    (A) in the subsection heading, by striking 
                ``Study'' and inserting ``Initial Study'';
                    (B) in paragraph (1)(A), by striking ``of the 
                Secretary''; and
                    (C) in paragraph (3), by inserting ``or subsection 
                (c)'' before the period at the end;
            (4) by redesignating subsections (c) and (d) as subsections 
        (d) and (e), respectively; and
            (5) by inserting after subsection (b) the following new 
        subsection:
    ``(c) Subsequent Study and Report.--
            ``(1) In general.--Not later than September 30, 2028, the 
        Secretary shall conduct a study to--
                    ``(A) analyze, to the extent practicable, the 
                criteria established by hospitals under the Acute 
                Hospital Care at Home initiative to determine which 
                individuals may be furnished services under such 
                initiative; and
                    ``(B) analyze and compare (both within and between 
                hospitals participating in the initiative, and relative 
                to comparable hospitals that do not participate in the 
                initiative, for relevant parameters such as diagnosis-
                related groups)--
                            ``(i) quality of care furnished to 
                        individuals with similar conditions and 
                        characteristics in the inpatient setting and 
                        through the Acute Hospital Care at Home 
                        initiative, including health outcomes, hospital 
                        readmission rates (including readmissions both 
                        within and beyond 30 days post-discharge), 
                        hospital mortality rates, length of stay, 
                        infection rates, composition of care team 
                        (including the types of labor used, such as 
                        contracted labor), the ratio of nursing staff, 
                        transfers from the hospital to the home, 
                        transfers from the home to the hospital 
                        (including the timing, frequency, and causes of 
                        such transfers), transfers and discharges to 
                        post-acute care settings (including the timing, 
                        frequency, and causes of such transfers and 
                        discharges), and patient and caregiver 
                        experience of care;
                            ``(ii) clinical conditions treated and 
                        diagnosis-related groups of discharges from 
                        inpatient settings relative to discharges from 
                        the Acute Hospital Care at Home initiative;
                            ``(iii) costs incurred by the hospital for 
                        furnishing care in inpatient settings relative 
                        to costs incurred by the hospital for 
                        furnishing care through the Acute Hospital Care 
                        at Home initiative, including costs relating to 
                        staffing, equipment, food, prescriptions, and 
                        other services, as determined by the Secretary;
                            ``(iv) the quantity, mix, and intensity of 
                        services (such as in-person visits and virtual 
                        contacts with patients and the intensity of 
                        such services) furnished in inpatient settings 
                        relative to the Acute Hospital Care at Home 
                        initiative, and, to the extent practicable, the 
                        nature and extent of family or caregiver 
                        involvement;
                            ``(v) socioeconomic information on 
                        individuals treated in comparable inpatient 
                        settings relative to the initiative, including 
                        racial and ethnic data, income, housing, 
                        geographic proximity to the brick-and-mortar 
                        facility and whether such individuals are 
                        dually eligible for benefits under this title 
                        and title XIX; and
                            ``(vi) the quality of care, outcomes, 
                        costs, quantity and intensity of services, and 
                        other relevant metrics between individuals who 
                        entered into the Acute Hospital Care at Home 
                        initiative directly from an emergency 
                        department compared with individuals who 
                        entered into the Acute Hospital Care at Home 
                        initiative directly from an existing inpatient 
                        stay in a hospital.
            ``(2) Selection bias.--In conducting the study under 
        paragraph (1), the Secretary shall, to the extent practicable, 
        analyze and compare individuals who participate and do not 
        participate in the initiative controlling for selection bias or 
        other factors that may impact the reliability of data.
            ``(3) Report.--Not later than September 30, 2028, the 
        Secretary of Health and Human Services shall post on a website 
        of the Centers for Medicare & Medicaid Services a report on the 
        study conducted under paragraph (1).
            ``(4) Funding.--In addition to amounts otherwise available, 
        there is appropriated to the Centers for Medicare & Medicaid 
        Services Program Management Account for fiscal year 2025, out 
        of any amounts in the Treasury not otherwise appropriated, 
        $6,000,000, respectively, to remain available until expended, 
        for purposes of carrying out this section.''.

SEC. 212. ENHANCING CERTAIN PROGRAM INTEGRITY REQUIREMENTS FOR DME 
              UNDER MEDICARE.

    (a) Durable Medical Equipment.--
            (1) In general.--Section 1834(a) of the Social Security Act 
        (42 U.S.C. 1395m(a)) is amended by adding at the end the 
        following new paragraph:
            ``(23) Master list inclusion and claim review for certain 
        items.--
                    ``(A) Master list inclusion.--Beginning January 1, 
                2028, for purposes of the Master List described in 
                section 414.234(b) of title 42, Code of Federal 
                Regulations (or any successor regulation), an item for 
                which payment may be made under this subsection shall 
                be treated as having aberrant billing patterns (as such 
                term is used for purposes of such section) if the 
                Secretary determines that, without explanatory 
                contributing factors (such as furnishing emergent care 
                services), a substantial number of claims for such 
                items under this subsection are for such items ordered 
                by a physician or practitioner who has not previously 
                (during a period of not less than 24 months, as 
                established by the Secretary) furnished to the 
                individual involved any item or service for which 
                payment may be made under this title.
                    ``(B) Claim review.--With respect to items 
                furnished on or after January 1, 2028, that are 
                included on the Master List pursuant to subparagraph 
                (A), if such an item is not subject to a determination 
                of coverage in advance pursuant to paragraph (15)(C), 
                the Secretary may conduct prepayment review of claims 
                for payment for such item.''.
            (2) Conforming amendment for prosthetic devices, orthotics, 
        and prosthetics.--Section 1834(h)(3) of the Social Security Act 
        (42 U.S.C. 1395m(h)(3)) is amended by inserting ``, and 
        paragraph (23) of subsection (a) shall apply to prosthetic 
        devices, orthotics, and prosthetics in the same manner as such 
        provision applies to items for which payment may be made under 
        such subsection'' before the period at the end.
    (b) Report on Identifying Clinical Diagnostic Laboratory Tests at 
High Risk for Fraud and Effective Mitigation Measures.--Not later than 
January 1, 2026, the Inspector General of the Department of Health and 
Human Services shall submit to Congress a report assessing fraud risks 
relating to claims for clinical diagnostic laboratory tests for which 
payment may be made under section 1834A of the Social Security Act (42 
U.S.C. 1395m-1) and effective tools for reducing such fraudulent 
claims. The report may include information regarding--
            (1) which, if any, clinical diagnostic laboratory tests are 
        identified as being at high risk of fraudulent claims, and an 
        analysis of the factors that contribute to such risk;
            (2) with respect to a clinical diagnostic laboratory test 
        identified under paragraph (1) as being at high risk of 
        fraudulent claims--
                    (A) the amount payable under such section 1834A 
                with respect to such test;
                    (B) the number of such tests furnished to 
                individuals enrolled under part B of title XVIII of the 
                Social Security Act (42 U.S.C. 1395j et seq.);
                    (C) whether an order for such a test was more 
                likely to come from a provider with whom the individual 
                involved did not have a prior relationship, as 
                determined on the basis of prior payment experience; 
                and
                    (D) the frequency with which a claim for payment 
                under such section 1834A included the payment modifier 
                identified by code 59 or 91; and
            (3) suggested strategies for reducing the number of 
        fraudulent claims made with respect to tests so identified as 
        being at high risk, including--
                    (A) an analysis of whether the Centers for Medicare 
                & Medicaid Services can detect aberrant billing 
                patterns with respect to such tests in a timely manner;
                    (B) any strategies for identifying and monitoring 
                the providers who are outliers with respect to the 
                number of such tests that such providers order; and
                    (C) targeted education efforts to mitigate improper 
                billing for such tests; and
            (4) such other information as the Inspector General 
        determines appropriate.

SEC. 213. GUIDANCE ON FURNISHING SERVICES VIA TELEHEALTH TO INDIVIDUALS 
              WITH LIMITED ENGLISH PROFICIENCY.

    (a) In General.--Not later than 1 year after the date of the 
enactment of this section, the Secretary of Health and Human Services, 
in consultation with 1 or more entities from each of the categories 
described in paragraphs (1) through (7) of subsection (b), shall issue 
and disseminate, or update and revise as applicable, guidance for the 
entities described in such subsection on the following:
            (1) Best practices on facilitating and integrating use of 
        interpreters during a telemedicine appointment.
            (2) Best practices on providing accessible instructions on 
        how to access telecommunications systems (as such term is used 
        for purposes of section 1834(m) of the Social Security Act (42 
        U.S.C. 1395m(m)) for individuals with limited English 
        proficiency.
            (3) Best practices on improving access to digital patient 
        portals for individuals with limited English proficiency.
            (4) Best practices on integrating the use of video 
        platforms that enable multi-person video calls furnished via a 
        telecommunications system for purposes of providing 
        interpretation during a telemedicine appointment for an 
        individual with limited English proficiency.
            (5) Best practices for providing patient materials, 
        communications, and instructions in multiple languages, 
        including text message appointment reminders and prescription 
        information.
    (b) Entities Described.--For purposes of subsection (a), an entity 
described in this subsection is an entity in 1 or more of the following 
categories:
            (1) Health information technology service providers, 
        including--
                    (A) electronic medical record companies;
                    (B) remote patient monitoring companies; and
                    (C) telehealth or mobile health vendors and 
                companies.
            (2) Health care providers, including--
                    (A) physicians; and
                    (B) hospitals.
            (3) Health insurers.
            (4) Language service companies.
            (5) Interpreter or translator professional associations.
            (6) Health and language services quality certification 
        organizations.
            (7) Patient and consumer advocates, including such 
        advocates that work with individuals with limited English 
        proficiency.

SEC. 214. IN-HOME CARDIOPULMONARY REHABILITATION FLEXIBILITIES.

    (a) In General.--Section 1861(eee)(2) of the Social Security Act 
(42 U.S.C. 1395x(eee)(2)) is amended--
            (1) in subparagraph (A)(ii), by inserting ``(including, 
        with respect to items and services furnished through audio and 
        video real-time communications technology (excluding audio-
        only) on or after April 1, 2025, and before January 1, 2027, in 
        the home of an individual who is an outpatient of the 
        hospital)'' after ``outpatient basis''; and
            (2) in subparagraph (B), by inserting ``(including, with 
        respect to items and services furnished through audio and video 
        real-time communications technology on or after April 1, 2025, 
        and before January 1, 2027, the virtual presence of such 
        physician, physician assistant, nurse practitioner, or clinical 
        nurse specialist)'' after ``under the program''.
    (b) Program Instruction Authority.--Notwithstanding any other 
provision of law, the Secretary of Health and Human Services may 
implement the amendments made by this section by program instruction or 
otherwise.

SEC. 215. INCLUSION OF VIRTUAL DIABETES PREVENTION PROGRAM SUPPLIERS IN 
              MDPP EXPANDED MODEL.

    (a) In General.--Not later than January 1, 2026, the Secretary 
shall revise the regulations under parts 410 and 424 of title 42, Code 
of Federal Regulations, to provide that, for the period beginning 
January 1, 2026, and ending December 31, 2030--
            (1) an entity may participate in the MDPP by offering only 
        online MDPP services via synchronous or asynchronous technology 
        or telecommunications if such entity meets the conditions for 
        enrollment as an MDPP supplier (as specified in section 
        424.205(b) of title 42, Code of Federal Regulations (or a 
        successor regulation));
            (2) if an entity participates in the MDPP in the manner 
        described in paragraph (1)--
                    (A) the administrative location of such entity 
                shall be the address of the entity on file under the 
                Diabetes Prevention Recognition Program; and
                    (B) in the case of online MDPP services furnished 
                by such entity to an MDPP beneficiary who was not 
                located in the same State as the entity at the time 
                such services were furnished, the entity shall not be 
                prohibited from submitting a claim for payment for such 
                services solely by reason of the location of such 
                beneficiary at such time; and
            (3) no limit is applied on the number of times an 
        individual may enroll in the MDPP.
    (b) Definitions.--In this section:
            (1) MDPP.--The term ``MDPP'' means the Medicare Diabetes 
        Prevention Program conducted under section 1115A of the Social 
        Security Act (42 U.S.C. 1315a), as described in the final rule 
        published in the Federal Register entitled ``Medicare and 
        Medicaid Programs; CY 2024 Payment Policies Under the Physician 
        Fee Schedule and Other Changes to Part B Payment and Coverage 
        Policies; Medicare Shared Savings Program Requirements; 
        Medicare Advantage; Medicare and Medicaid Provider and Supplier 
        Enrollment Policies; and Basic Health Program'' (88 Fed. Reg. 
        78818 (November 16, 2023)) (or a successor regulation).
            (2) Regulatory terms.--The terms ``Diabetes Prevention 
        Recognition Program'', ``full CDC DPRP recognition'', ``MDPP 
        beneficiary'', ``MDPP services'', and ``MDPP supplier'' have 
        the meanings given each such term in section 410.79(b) of title 
        42, Code of Federal Regulations.
            (3) Secretary.--The term ``Secretary'' means the Secretary 
        of Health and Human Services.

SEC. 216. MEDICATION-INDUCED MOVEMENT DISORDER OUTREACH AND EDUCATION.

    Not later than January 1, 2026, the Secretary shall use existing 
communications mechanisms to provide education and outreach to 
physicians and appropriate non-physician practitioners participating 
under the Medicare program under title XVIII of the Social Security Act 
(42 U.S.C. 1395 et seq.) with respect to periodic screening for 
medication-induced movement disorders that are associated with the 
treatment of mental health disorders in at-risk patients, as well as 
resources related to clinical guidelines and best practices for 
furnishing such screening services through telehealth. Such education 
and outreach shall include information on how to account for such 
screening services in evaluation and management code selection. The 
Secretary shall, to the extent practicable, seek input from relevant 
stakeholders to inform such education and outreach. Such education and 
outreach may also address other relevant screening services furnished 
through telehealth, as the Secretary determines appropriate.

SEC. 217. REPORT ON WEARABLE MEDICAL DEVICES.

    Not later than 18 months after the date of the enactment of this 
Act, the Comptroller General of the United States shall conduct a 
technology assessment of, and submit to Congress a report on, the 
capabilities and limitations of wearable medical devices used to 
support clinical decision-making. Such report shall include a 
description of--
            (1) the potential for such devices to accurately prescribe 
        treatments;
            (2) an examination of the benefits and challenges of 
        artificial intelligence to augment such capabilities; and
            (3) policy options to enhance the benefits and mitigate 
        potential challenges of developing or using such devices.

SEC. 218. EXTENSION OF TEMPORARY INCLUSION OF AUTHORIZED ORAL ANTIVIRAL 
              DRUGS AS COVERED PART D DRUGS.

    Section 1860D-2(e)(1)(C) of the Social Security Act (42 U.S.C. 
1395w-102(e)(1)(C)) is amended by striking ``March 31, 2025'' and 
inserting ``December 31, 2025''.

SEC. 219. EXTENSION OF ADJUSTMENT TO CALCULATION OF HOSPICE CAP AMOUNT.

    Section 1814(i)(2)(B) of the Social Security Act (42 U.S.C. 
1395f(i)(2)(B)) is amended--
            (1) in clause (ii), by striking ``2033'' and inserting 
        ``2034''; and
            (2) in clause (iii), by striking ``2033'' and inserting 
        ``2034''.

SEC. 220. MULTIYEAR CONTRACTING AUTHORITY FOR MEDPAC AND MACPAC.

    Section 3904 of title 41, United States Code, is amended by adding 
at the end the following new subsections:
    ``(i) The Medicare Payment Advisory Commission.--The Medicare 
Payment Advisory Commission may use available funds to enter into 
contracts for the procurement of severable services for a period that 
begins in one fiscal year and ends in the next fiscal year and may 
enter into multiyear contracts for the acquisition of property and 
services to the same extent as executive agencies under the authority 
of sections 3902 and 3903 of this title.
    ``(j) The Medicaid and CHIP Payment and Access Commission.--The 
Medicaid and CHIP Payment and Access Commission may use available funds 
to enter into contracts for the procurement of severable services for a 
period that begins in one fiscal year and ends in the next fiscal year 
and may enter into multiyear contracts for the acquisition of property 
and services to the same extent as executive agencies under the 
authority of sections 3902 and 3903 of this title.''.

SEC. 221. CONTRACTING PARITY FOR MEDPAC AND MACPAC.

    In fiscal year 2025 and thereafter, for all contracts for goods and 
services to which the Medicare and Payment Advisory Commission or the 
Medicaid and CHIP Payment and Access Commission is a party, the 
following Federal Acquisition Regulation (FAR) clauses will apply: FAR 
52.232-39 and FAR 52.233-4 (or a successor clause).

SEC. 222. ADJUSTMENTS TO MEDICARE PART D COST-SHARING REDUCTIONS FOR 
              LOW-INCOME INDIVIDUALS.

    Section 1860D-14(a) of the Social Security Act (42 U.S.C. 1395w-
114(a)) is amended--
            (1) in paragraph (1)(D)(ii), by striking ``that does not 
        exceed $1 for'' and all that follows through the period at the 
        end and inserting ``that does not exceed--
                                    ``(I) for a plan year before 2027--
                                            ``(aa) for a generic drug 
                                        or a preferred drug that is a 
                                        multiple source drug (as 
                                        defined in section 
                                        1927(k)(7)(A)(i)), $1 or, if 
                                        less, the copayment amount 
                                        applicable to an individual 
                                        under clause (iii); and
                                            ``(bb) for any other drug, 
                                        $3 or, if less, the copayment 
                                        amount applicable to an 
                                        individual under clause (iii); 
                                        and
                                    ``(II) for plan year 2027 and each 
                                subsequent plan year--
                                            ``(aa) for a generic drug, 
                                        $0;
                                            ``(bb) for a preferred drug 
                                        that is a multiple source drug 
                                        (as defined in section 
                                        1927(k)(7)(A)(i)), the dollar 
                                        amount applied under this 
                                        clause for such a drug for the 
                                        preceding plan year, increased 
                                        by the annual percentage 
                                        increase in the consumer price 
                                        index (all items; U.S. city 
                                        average) as of September of 
                                        such preceding year, or, if 
                                        less, the copayment amount 
                                        applicable to an individual 
                                        under clause (iii); and
                                            ``(cc) for a drug not 
                                        described in either item (aa) 
                                        or (bb), the dollar amount 
                                        applied under this clause for 
                                        such a drug for the preceding 
                                        plan year, increased in the 
                                        manner specified in item (bb), 
                                        or, if less, the copayment 
                                        amount applicable to an 
                                        individual under clause (iii).
                        Any amount established under item (bb) or (cc) 
                        of subclause (II), that is based on an increase 
                        of $1 or $3, that is not a multiple of 5 cents 
                        or 10 cents, respectively, shall be rounded to 
                        the nearest multiple of 5 cents or 10 cents, 
                        respectively.''; and
            (2) in paragraph (4)(A)(ii), by inserting ``(before 2027)'' 
        after ``a subsequent year''.

SEC. 223. REQUIRING ENHANCED AND ACCURATE LISTS OF (REAL) HEALTH 
              PROVIDERS ACT.

    (a) In General.--Section 1852(c) of the Social Security Act (42 
U.S.C. 1395w-22(c)) is amended--
            (1) in paragraph (1)(C)--
                    (A) by striking ``plan, and any'' and inserting 
                ``plan, any''; and
                    (B) by inserting the following before the period at 
                the end: ``, and, in the case of a specified MA plan 
                (as defined in paragraph (3)(C)), for plan year 2027 
                and subsequent plan years, the information described in 
                paragraph (3)(B)''; and
            (2) by adding at the end the following new paragraph:
            ``(3) Provider directory accuracy.--
                    ``(A) In general.--For plan year 2027 and 
                subsequent plan years, each MA organization offering a 
                specified MA plan (as defined in subparagraph (C)) 
                shall, for each such plan offered by the organization--
                            ``(i) maintain, on a publicly available 
                        internet website, an accurate provider 
                        directory that includes the information 
                        described in subparagraph (B);
                            ``(ii) not less frequently than once every 
                        90 days (or, in the case of a hospital or any 
                        other facility determined appropriate by the 
                        Secretary, at a lesser frequency specified by 
                        the Secretary but in no case less frequently 
                        than once every 12 months), verify the provider 
                        directory information of each provider listed 
                        in such directory and, if applicable, update 
                        such provider directory information;
                            ``(iii) if the organization is unable to 
                        verify such information with respect to a 
                        provider, include in such directory an 
                        indication that the information of such 
                        provider may not be up to date; and
                            ``(iv) remove a provider from such 
                        directory within 5 business days if the 
                        organization determines that the provider is no 
                        longer a provider participating in the network 
                        of such plan.
                    ``(B) Provider directory information.--The 
                information described in this subparagraph is 
                information enrollees may need to access covered 
                benefits from a provider with which such organization 
                offering such plan has an agreement for furnishing 
                items and services covered under such plan such as 
                name, specialty, contact information, primary office or 
                facility address, whether the provider is accepting new 
                patients, accommodations for people with disabilities, 
                cultural and linguistic capabilities, and telehealth 
                capabilities.
                    ``(C) Specified ma plan.--In this paragraph, the 
                term `specified MA plan' means--
                            ``(i) a network-based plan (as defined in 
                        subsection (d)(5)(C)); or
                            ``(ii) a Medicare Advantage private fee-
                        for-service plan (as defined in section 
                        1859(b)(2)) that meets the access standards 
                        under subsection (d)(4), in whole or in part, 
                        through entering into contracts or agreements 
                        as provided for under subparagraph (B) of such 
                        subsection.''.
    (b) Accountability for Provider Directory Accuracy.--
            (1) Cost sharing for services furnished based on reliance 
        on incorrect provider directory information.--Section 1852(d) 
        of the Social Security Act (42 U.S.C. 1395w-22(d)) is amended--
                    (A) in paragraph (1)(C)--
                            (i) in clause (ii), by striking ``or'' at 
                        the end;
                            (ii) in clause (iii), by striking the 
                        semicolon at the end and inserting ``, or''; 
                        and
                            (iii) by adding at the end the following 
                        new clause:
                            ``(iv) the services are furnished by a 
                        provider that is not participating in the 
                        network of a specified MA plan (as defined in 
                        subsection (c)(3)(C)) but is listed in the 
                        provider directory of such plan on the date on 
                        which the appointment is made, as described in 
                        paragraph (7)(A);''; and
                    (B) by adding at the end the following new 
                paragraph:
            ``(7) Cost sharing for services furnished based on reliance 
        on incorrect provider directory information.--
                    ``(A) In general.--For plan year 2027 and 
                subsequent plan years, if an enrollee is furnished an 
                item or service by a provider that is not participating 
                in the network of a specified MA plan (as defined in 
                subsection (c)(3)(C)) but is listed in the provider 
                directory of such plan (as required to be provided to 
                an enrollee pursuant to subsection (c)(1)(C)) on the 
                date on which the appointment is made, and if such item 
                or service would otherwise be covered under such plan 
                if furnished by a provider that is participating in the 
                network of such plan, the MA organization offering such 
                plan shall ensure that the enrollee is only responsible 
                for the lesser of--
                            ``(i) the amount of cost sharing that would 
                        apply if such provider had been participating 
                        in the network of such plan; or
                            ``(ii) the amount of cost sharing that 
                        would otherwise apply (without regard to this 
                        subparagraph).
                    ``(B) Notification requirement.--For plan year 2027 
                and subsequent plan years, each MA organization that 
                offers a specified MA plan shall--
                            ``(i) notify enrollees of their cost-
                        sharing protections under this paragraph and 
                        make such notifications, to the extent 
                        practicable, by not later than the first day of 
                        an annual, coordinated election period under 
                        section 1851(e)(3) with respect to a year;
                            ``(ii) include information regarding such 
                        cost-sharing protections in the provider 
                        directory of each specified MA plan offered by 
                        the MA organization.; and
                            ``(iii) notify enrollees of their cost-
                        sharing protections under this paragraph in an 
                        explanation of benefits.''.
            (2) Required provider directory accuracy analysis and 
        reports.--
                    (A) In general.--Section 1857(e) of the Social 
                Security Act (42 U.S.C. 1395w-27(e)) is amended by 
                adding at the end the following new paragraph:
            ``(6) Provider directory accuracy analysis and reports.--
                    ``(A) In general.--Beginning with plan years 
                beginning on or after January 1, 2027, subject to 
                subparagraph (C), a contract under this section with an 
                MA organization shall require the organization, for 
                each specified MA plan (as defined in section 
                1852(c)(3)(C)) offered by the organization to annually 
                do the following:
                            ``(i) Conduct an analysis estimating the 
                        accuracy of the provider directory information 
                        of such plan using a random sample of providers 
                        included in such provider directory as follows:
                                    ``(I) Such a random sample shall 
                                include a random sample of each 
                                specialty of providers with a high 
                                inaccuracy rate of provider directory 
                                information relative to other 
                                specialties of providers, as determined 
                                by the Secretary.
                                    ``(II) For purposes of subclause 
                                (I), one type of specialty may be 
                                providers specializing in mental health 
                                or substance use disorder treatment.
                            ``(ii) Submit to the Secretary a report 
                        containing the results of the analysis 
                        conducted under clause (i), including an 
                        accuracy score for such provider directory 
                        information (as determined using a plan 
                        verification method specified by the Secretary 
                        under subparagraph (B)(i)).
                    ``(B) Determination of accuracy score.--
                            ``(i) In general.--The Secretary shall 
                        specify plan verification methods, such as 
                        using telephonic verification or other 
                        approaches using data sources maintained by an 
                        MA organization or using publicly available 
                        data sets, that MA organizations may use for 
                        estimating accuracy scores of the provider 
                        directory information of specified MA plans 
                        offered by such organizations.
                            ``(ii) Accuracy score methodology.--With 
                        respect to each such method specified by the 
                        Secretary as described in clause (i), the 
                        Secretary shall specify a methodology for MA 
                        organizations to use in estimating such 
                        accuracy scores. Each such methodology shall 
                        take into account the administrative burden on 
                        plans and providers and the relative importance 
                        of certain provider directory information on 
                        enrollee ability to access care.
                    ``(C) Exception.--The Secretary may waive the 
                requirements of this paragraph in the case of a 
                specified MA plan with low enrollment (as defined by 
                the Secretary).
                    ``(D) Transparency.--Beginning with plan years 
                beginning on or after January 1, 2028, the Secretary 
                shall post accuracy scores (as reported under 
                subparagraph (A)(ii)), in a machine readable file, on 
                the internet website of the Centers for Medicare & 
                Medicaid Services.''.
                    (B) Provision of information to beneficiaries.--
                Section 1851(d)(4) of the Social Security Act (42 
                U.S.C. 1395w-21(d)(4)) is amended by adding at the end 
                the following new subparagraph:
                    ``(F) Provider directory.--Beginning with plan 
                years beginning on or after January 1, 2028, the 
                accuracy score of the plan's provider directory (as 
                reported under section 1857(e)(6)(A)(ii)) listed 
                prominently on the plan's provider directory.''.
                    (C) Funding.--In addition to amounts otherwise 
                available, there is appropriated to the Centers for 
                Medicare & Medicaid Services Program Management 
                Account, out of any money in the Treasury not otherwise 
                appropriated, $4,000,000 for fiscal year 2025, to 
                remain available until expended, to carry out the 
                amendments made by this paragraph.
            (3) GAO study and report.--
                    (A) Analysis.--The Comptroller General of the 
                United States (in this paragraph referred to as the 
                ``Comptroller General'') shall conduct a study of the 
                implementation of the amendments made by paragraphs (1) 
                and (2). To the extent data are available and reliable, 
                such study shall include an analysis of--
                            (i) the use of cost-sharing protections 
                        required under section 1852(d)(7)(A) of the 
                        Social Security Act, as added by paragraph (1);
                            (ii) the trends in provider directory 
                        information accuracy scores under section 
                        1857(e)(6)(A)(ii) of the Social Security Act 
                        (as added by paragraph (2)(A)), both overall 
                        and among providers specializing in mental 
                        health or substance use disorder treatment;
                            (iii) provider response rates by plan 
                        verification methods;
                            (iv) administrative costs to providers and 
                        Medicare Advantage organizations; and
                            (v) other items determined appropriate by 
                        the Comptroller General.
                    (B) Report.--Not later than January 15, 2032, the 
                Comptroller General shall submit to Congress a report 
                containing the results of the study conducted under 
                subparagraph (A), together with recommendations for 
                such legislation and administrative action as the 
                Comptroller General determines appropriate.
    (c) Guidance on Maintaining Accurate Provider Directories.--
            (1) Stakeholder meeting.--
                    (A) In general.--Not later than 3 months after the 
                date of enactment of this Act, the Secretary of Health 
                and Human Services (referred to in this subsection as 
                the ``Secretary'') shall hold a public meeting to 
                receive input on approaches for maintaining accurate 
                provider directories for Medicare Advantage plans under 
                part C of title XVIII of the Social Security Act (42 
                U.S.C. 1395w-21 et seq.), including input on approaches 
                for reducing administrative burden, such as data 
                standardization, and best practices to maintain 
                accurate provider directory information.
                    (B) Participants.--Participants of the meeting 
                under subparagraph (A) shall include representatives 
                from the Centers for Medicare & Medicaid Services and 
                the Assistant Secretary for Technology Policy and 
                Office of the National Coordinator for Health 
                Information Technology. Such meeting shall be open to 
                the public. To the extent practicable, the Secretary 
                shall include health care providers, companies that 
                specialize in relevant technologies, health insurers, 
                and patient advocates.
            (2) Guidance to medicare advantage organizations.--Not 
        later than 12 months after the date of enactment of this Act, 
        the Secretary shall issue guidance to Medicare Advantage 
        organizations offering Medicare Advantage plans under part C of 
        title XVIII of the Social Security Act (42 U.S.C. 1395w-21 et 
        seq.) on maintaining accurate provider directories for such 
        plans, taking into consideration input received during the 
        stakeholder meeting under paragraph (1). Such guidance may 
        include the following, as determined appropriate by the 
        Secretary:
                    (A) Best practices for Medicare Advantage 
                organizations on how to work with providers to maintain 
                the accuracy of provider directories and reduce 
                provider and Medicare Advantage organization burden 
                with respect to maintaining the accuracy of provider 
                directories.
                    (B) Information on data sets and data sources with 
                information that could be used by Medicare Advantage 
                organizations to maintain accurate provider 
                directories.
                    (C) Approaches for utilizing data sources 
                maintained by Medicare Advantage organizations and 
                publicly available data sets to maintain accurate 
                provider directories.
                    (D) Information to be included in provider 
                directories that may be useful for Medicare 
                beneficiaries to assess plan networks when selecting a 
                plan and accessing providers participating in plan 
                networks during the plan year.
            (3) Guidance to part b providers.--Not later than 12 months 
        after the date of enactment of this Act, the Secretary shall 
        issue guidance to providers of services and suppliers who 
        furnish items or services for which benefits are available 
        under part B of title XVIII of the Social Security Act (42 
        U.S.C. 1395j et seq.) on when to update the National Plan and 
        Provider Enumeration System for information changes.

SEC. 224. MEDICARE COVERAGE OF MULTI-CANCER EARLY DETECTION SCREENING 
              TESTS.

    (a) Coverage.--Section 1861 of the Social Security Act (42 U.S.C. 
1395x) is amended--
            (1) in subsection (s)(2)--
                    (A) by striking the semicolon at the end of 
                subparagraph (JJ) and inserting ``; and''; and
                    (B) by adding at the end the following new 
                subparagraph:
                    ``(KK) multi-cancer early detection screening tests 
                (as defined in subsection (nnn));''; and
            (2) by adding at the end the following new subsection:
    ``(nnn) Multi-Cancer Early Detection Screening Tests.--
            ``(1) In general.--The term `multi-cancer early detection 
        screening test' means a test furnished to an individual for the 
        concurrent detection of multiple cancer types across multiple 
        organ sites on or after January 1, 2029, that--
                    ``(A) is cleared under section 510(k), classified 
                under section 513(f)(2), or approved under section 515 
                of the Federal Food, Drug, and Cosmetic Act;
                    ``(B) is--
                            ``(i) a genomic sequencing blood or blood 
                        product test that includes the analysis of 
                        cell-free nucleic acids; or
                            ``(ii) a test based on samples of 
                        biological material that provide results 
                        comparable to those obtained with a test 
                        described in clause (i), as determined by the 
                        Secretary; and
                    ``(C) the Secretary determines is--
                            ``(i) reasonable and necessary for the 
                        prevention or early detection of an illness or 
                        disability; and
                            ``(ii) appropriate for individuals entitled 
                        to benefits under part A or enrolled under part 
                        B.
            ``(2) NCD process.--In making determinations under 
        paragraph (1)(C) regarding the coverage of a new test, the 
        Secretary shall use the process for making national coverage 
        determinations (as defined in section 1869(f)(1)(B)) under this 
        title.''.
    (b) Payment and Standards for Multi-Cancer Early Detection 
Screening Tests.--
            (1) In general.--Section 1834 of the Social Security Act 
        (42 U.S.C. 1395m) is amended by adding at the end the following 
        new subsection:
    ``(aa) Payment and Standards for Multi-Cancer Early Detection 
Screening Tests.--
            ``(1) Payment amount.--The payment amount for a multi-
        cancer early detection screening test (as defined in section 
        1861(nnn)) is--
                    ``(A) with respect to such a test furnished before 
                January 1, 2031, equal to the payment amount in effect 
                on the date of the enactment of this subsection for a 
                multi-target stool screening DNA test covered pursuant 
                to section 1861(pp)(1)(D); and
                    ``(B) with respect to such a test furnished on or 
                after January 1, 2031, equal to the lesser of--
                            ``(i) the amount described in subparagraph 
                        (A); or
                            ``(ii) the payment amount determined for 
                        such test under section 1834A.
            ``(2) Limitations.--
                    ``(A) In general.--No payment may be made under 
                this part for a multi-cancer early detection screening 
                test furnished during a year to an individual if--
                            ``(i) such individual--
                                    ``(I) is under 50 years of age; or
                                    ``(II) as of January 1 of such 
                                year, has attained the age specified in 
                                subparagraph (B) for such year; or
                            ``(ii) such a test was furnished to the 
                        individual during the previous 11 months.
                    ``(B) Age specified.--For purposes of subparagraph 
                (A)(i)(II), the age specified in this subparagraph is--
                            ``(i) for 2029, 65 years of age; and
                            ``(ii) for a succeeding year, the age 
                        specified in this subparagraph for the 
                        preceding year, increased by 1 year.
                    ``(C) Standards following uspstf rating of a or 
                b.--In the case of a multi-cancer early detection 
                screening test that is recommended with a grade of A or 
                B by the United States Preventive Services Task Force, 
                beginning on the date on which coverage for such test 
                is provided pursuant to section 1861(ddd)(1), the 
                preceding provisions of this paragraph shall not 
                apply.''.
            (2) Conforming amendments.--
                    (A) Section 1833 of the Social Security Act (42 
                U.S.C. 1395l) is amended--
                            (i) in subsection (a)--
                                    (I) in paragraph (1)(D)(i)(I), by 
                                striking ``section 1834(d)(1)'' and 
                                inserting ``subsection (d)(1) or (aa) 
                                of section 1834''; and
                                    (II) in paragraph (2)(D)(i)(I), by 
                                striking ``section 1834(d)(1)'' and 
                                inserting ``subsection (d)(1) or (aa) 
                                of section 1834''; and
                            (ii) in subsection (h)(1)(A), by striking 
                        ``section 1834(d)(1)'' and inserting 
                        ``subsections (d)(1) and (aa) of section 
                        1834''.
                    (B) Section 1862(a)(1)(A) of the Social Security 
                Act (42 U.S.C. 1395y(a)(1)(A)) is amended--
                            (i) by striking ``or additional preventive 
                        services'' and inserting ``, additional 
                        preventive services''; and
                            (ii) by inserting ``, or multi-cancer early 
                        detection screening tests (as defined in 
                        section 1861(nnn))'' after ``(as described in 
                        section 1861(ddd)(1))''.
    (c) Rule of Construction Relating to Other Cancer Screening 
Tests.--Nothing in this section, including the amendments made by this 
section, shall be construed--
            (1) in the case of an individual who undergoes a multi-
        cancer early detection screening test, to affect coverage under 
        part B of title XVIII of the Social Security Act for other 
        cancer screening tests covered under such title, such as 
        screening tests for breast, cervical, colorectal, lung, or 
        prostate cancer; or
            (2) in the case of an individual who undergoes another 
        cancer screening test, to affect coverage under such part for a 
        multi-cancer early detection screening test or the use of such 
        a test as a diagnostic or confirmatory test for a result of the 
        other cancer screening test.

SEC. 225. MEDICARE COVERAGE OF EXTERNAL INFUSION PUMPS AND NON-SELF-
              ADMINISTRABLE HOME INFUSION DRUGS.

    (a) In General.--Section 1861(n) of the Social Security Act (42 
U.S.C. 1395x(n)) is amended by adding at the end the following new 
sentence: ``Beginning with the first calendar quarter beginning on or 
after the date that is 1 year after the date of the enactment of this 
sentence, an external infusion pump and associated home infusion drug 
(as defined in subsection (iii)(3)(C)) or other associated supplies 
that do not meet the appropriate for use in the home requirement 
applied to the definition of durable medical equipment under section 
414.202 of title 42, Code of Federal Regulations (or any successor to 
such regulation) shall be treated as meeting such requirement if each 
of the following criteria is satisfied:
            ``(1) The prescribing information approved by the Food and 
        Drug Administration for the home infusion drug associated with 
        the pump instructs that the drug should be administered by or 
        under the supervision of a health care professional.
            ``(2) A qualified home infusion therapy supplier (as 
        defined in subsection (iii)(3)(D)) administers or supervises 
        the administration of the drug or biological in a safe and 
        effective manner in the patient's home (as defined in 
        subsection (iii)(3)(B)).
            ``(3) The prescribing information described in paragraph 
        (1) instructs that the drug should be infused at least 12 times 
        per year--
                    ``(A) intravenously or subcutaneously; or
                    ``(B) at infusion rates that the Secretary 
                determines would require the use of an external 
                infusion pump.''.
    (b) Cost Sharing Notification.--The Secretary of Health and Human 
Services shall ensure that patients are notified of the cost sharing 
for electing home infusion therapy compared to other applicable 
settings of care for the furnishing of infusion drugs under the 
Medicare program.

SEC. 226. ASSURING PHARMACY ACCESS AND CHOICE FOR MEDICARE 
              BENEFICIARIES.

    (a) In General.--Section 1860D-4(b)(1) of the Social Security Act 
(42 U.S.C. 1395w-104(b)(1)) is amended by striking subparagraph (A) and 
inserting the following:
                    ``(A) In general.--
                            ``(i) Participation of any willing 
                        pharmacy.--A PDP sponsor offering a 
                        prescription drug plan shall permit any 
                        pharmacy that meets the standard contract terms 
                        and conditions under such plan to participate 
                        as a network pharmacy of such plan.
                            ``(ii) Contract terms and conditions.--
                                    ``(I) In general.--Notwithstanding 
                                any other provision of law, for plan 
                                years beginning on or after January 1, 
                                2028, in accordance with clause (i), 
                                contract terms and conditions offered 
                                by such PDP sponsor shall be reasonable 
                                and relevant according to standards 
                                established by the Secretary under 
                                subclause (II).
                                    ``(II) Standards.--Not later than 
                                the first Monday in April of 2027, the 
                                Secretary shall establish standards for 
                                reasonable and relevant contract terms 
                                and conditions for purposes of this 
                                clause.
                                    ``(III) Request for information.--
                                Not later than April 1, 2026, for 
                                purposes of establishing the standards 
                                under subclause (II), the Secretary 
                                shall issue a request for information 
                                to seek input on trends in prescription 
                                drug plan and network pharmacy contract 
                                terms and conditions, current 
                                prescription drug plan and network 
                                pharmacy contracting practices, whether 
                                pharmacy reimbursement and dispensing 
                                fees paid by PDP sponsors to network 
                                pharmacies sufficiently cover the 
                                ingredient and operational costs of 
                                such pharmacies, the use and 
                                application of pharmacy quality 
                                measures by PDP sponsors for network 
                                pharmacies, PDP sponsor restrictions or 
                                limitations on the dispensing of 
                                covered part D drugs by network 
                                pharmacies (or any subsets of such 
                                pharmacies), PDP sponsor auditing 
                                practices for network pharmacies, areas 
                                in current regulations or program 
                                guidance related to contracting between 
                                prescription drug plans and network 
                                pharmacies requiring clarification or 
                                additional specificity, factors for 
                                consideration in determining the 
                                reasonableness and relevance of 
                                contract terms and conditions between 
                                prescription drug plans and network 
                                pharmacies, and other issues as 
                                determined appropriate by the 
                                Secretary.''.
    (b) Essential Retail Pharmacies.--Section 1860D-42 of the Social 
Security Act (42 U.S.C. 1395w-152) is amended by adding at the end the 
following new subsection:
    ``(e) Essential Retail Pharmacies.--
            ``(1) In general.--With respect to plan years beginning on 
        or after January 1, 2028, the Secretary shall publish reports, 
        at least once every 2 years until 2034, and periodically 
        thereafter, that provide information, to the extent feasible, 
        on--
                    ``(A) trends in ingredient cost reimbursement, 
                dispensing fees, incentive payments and other fees paid 
                by PDP sponsors offering prescription drug plans and MA 
                organizations offering MA-PD plans under this part to 
                essential retail pharmacies (as defined in paragraph 
                (2)) with respect to the dispensing of covered part D 
                drugs, including a comparison of such trends between 
                essential retail pharmacies and pharmacies that are not 
                essential retail pharmacies;
                    ``(B) trends in amounts paid to PDP sponsors 
                offering prescription drug plans and MA organizations 
                offering MA-PD plans under this part by essential 
                retail pharmacies with respect to the dispensing of 
                covered part D drugs, including a comparison of such 
                trends between essential retail pharmacies and 
                pharmacies that are not essential retail pharmacies;
                    ``(C) trends in essential retail pharmacy 
                participation in pharmacy networks and preferred 
                pharmacy networks for prescription drug plans offered 
                by PDP sponsors and MA-PD plans offered by MA 
                organizations under this part, including a comparison 
                of such trends between essential retail pharmacies and 
                pharmacies that are not essential retail pharmacies;
                    ``(D) trends in the number of essential retail 
                pharmacies, including variation in such trends by 
                geographic region or other factors;
                    ``(E) a comparison of cost-sharing for covered part 
                D drugs dispensed by essential retail pharmacies that 
                are network pharmacies for prescription drug plans 
                offered by PDP sponsors and MA-PD plans offered by MA 
                organizations under this part and cost-sharing for 
                covered part D drugs dispensed by other network 
                pharmacies for such plans located in similar geographic 
                areas that are not essential retail pharmacies;
                    ``(F) a comparison of the volume of covered part D 
                drugs dispensed by essential retail pharmacies that are 
                network pharmacies for prescription drug plans offered 
                by PDP sponsors and MA-PD plans offered by MA 
                organizations under this part and such volume of 
                dispensing by network pharmacies for such plans located 
                in similar geographic areas that are not essential 
                retail pharmacies, including information on any 
                patterns or trends in such comparison specific to 
                certain types of covered part D drugs, such as generic 
                drugs or drugs specified as specialty drugs by a PDP 
                sponsor under a prescription drug plan or an MA 
                organization under an MA-PD plan; and
                    ``(G) a comparison of the information described in 
                subparagraphs (A) through (F) between essential retail 
                pharmacies that are network pharmacies for prescription 
                drug plans offered by PDP sponsors under this part and 
                essential retail pharmacies that are network pharmacies 
                for MA-PD plans offered by MA organizations under this 
                part.
            ``(2) Definition of essential retail pharmacy.--In this 
        subsection, the term `essential retail pharmacy' means, with 
        respect to a plan year, a retail pharmacy that--
                    ``(A) is not a pharmacy that is an affiliate as 
                defined in paragraph (4); and
                    ``(B) is located in--
                            ``(i) a medically underserved area (as 
                        designated pursuant to section 330(b)(3)(A) of 
                        the Public Health Service Act);
                            ``(ii) a rural area in which there is no 
                        other retail pharmacy within 10 miles, as 
                        determined by the Secretary;
                            ``(iii) a suburban area in which there is 
                        no other retail pharmacy within 2 miles, as 
                        determined by the Secretary; or
                            ``(iv) an urban area in which there is no 
                        other retail pharmacy within 1 mile, as 
                        determined by the Secretary.
            ``(3) List of essential retail pharmacies.--
                    ``(A) Publication of list of essential retail 
                pharmacies.--For each plan year (beginning with plan 
                year 2028), the Secretary shall publish, on a publicly 
                available internet website of the Centers for Medicare 
                & Medicaid Services, a list of pharmacies that meet the 
                criteria described in subparagraphs (A) and (B) of 
                paragraph (2) to be considered an essential retail 
                pharmacy.
                    ``(B) Required submissions from pdp sponsors.--For 
                each plan year (beginning with plan year 2028), each 
                PDP sponsor offering a prescription drug plan and each 
                MA organization offering an MA-PD plan shall submit to 
                the Secretary, for the purposes of determining retail 
                pharmacies that meet the criterion specified in 
                subparagraph (A) of paragraph (2), a list of retail 
                pharmacies that are affiliates of such sponsor or 
                organization, or are affiliates of a pharmacy benefit 
                manager acting on behalf of such sponsor or 
                organization, at a time, and in a form and manner, 
                specified by the Secretary.
                    ``(C) Reporting by pdp sponsors and ma 
                organizations.--For each plan year beginning with plan 
                year 2027, each PDP sponsor offering a prescription 
                drug plan and each MA organization offering an MA-PD 
                plan under this part shall submit to the Secretary 
                information on incentive payments and other fees paid 
                by such sponsor or organization to pharmacies, insofar 
                as any such payments or fees are not otherwise 
                reported, at a time, and in a form and manner, 
                specified by the Secretary.
                    ``(D) Implementation.--Notwithstanding any other 
                provision of law, the Secretary may implement this 
                paragraph by program instruction or otherwise.
                    ``(E) Nonapplication of paperwork reduction act.--
                Chapter 35 of title 44, United States Code, shall not 
                apply to the implementation of this paragraph.
            ``(4) Definition of affiliate; pharmacy benefit manager.--
        In this subsection, the terms `affiliate' and `pharmacy benefit 
        manager' have the meaning given those terms in section 1860D-
        12(h)(7).''.
    (c) Enforcement.--
            (1) In general.--Section 1860D-4(b)(1) of the Social 
        Security Act (42 U.S.C. 1395w-104(b)(1)) is amended by adding 
        at the end the following new subparagraph:
                    ``(F) Enforcement of standards for reasonable and 
                relevant contract terms and conditions.--
                            ``(i) Allegation submission process.--
                                    ``(I) In general.--Not later than 
                                January 1, 2028, the Secretary shall 
                                establish a process through which a 
                                pharmacy may submit to the Secretary an 
                                allegation of a violation by a PDP 
                                sponsor offering a prescription drug 
                                plan of the standards for reasonable 
                                and relevant contract terms and 
                                conditions under subparagraph (A)(ii), 
                                or of subclause (VIII) of this clause.
                                    ``(II) Frequency of submission.--
                                            ``(aa) In general.--Except 
                                        as provided in item (bb), the 
                                        allegation submission process 
                                        under this clause shall allow 
                                        pharmacies to submit any 
                                        allegations of violations 
                                        described in subclause (I) not 
                                        more frequently than once per 
                                        plan year per contract between 
                                        a pharmacy and a PDP sponsor.
                                            ``(bb) Allegations relating 
                                        to contract modifications.--In 
                                        the case where a contract 
                                        between a pharmacy and a PDP 
                                        sponsor is modified following 
                                        the submission of allegations 
                                        by a pharmacy with respect to 
                                        such contract and plan year, 
                                        the allegation submission 
                                        process under this clause shall 
                                        allow such pharmacy to submit 
                                        an additional allegation 
                                        related to those modifications 
                                        with respect to such contract 
                                        and plan year.
                                    ``(III) Access to relevant 
                                documents and materials.--A PDP sponsor 
                                subject to an allegation under this 
                                clause--
                                            ``(aa) shall provide 
                                        documents or materials, as 
                                        specified by the Secretary, 
                                        including contract offers made 
                                        by such sponsor to such 
                                        pharmacy or correspondence 
                                        related to such offers, to the 
                                        Secretary at a time, and in a 
                                        form and manner, specified by 
                                        the Secretary; and
                                            ``(bb) shall not prohibit 
                                        or otherwise limit the ability 
                                        of a pharmacy to submit such 
                                        documents or materials to the 
                                        Secretary for the purpose of 
                                        submitting an allegation or 
                                        providing evidence for such an 
                                        allegation under this clause.
                                    ``(IV) Standardized template.--The 
                                Secretary shall establish a 
                                standardized template for pharmacies to 
                                use for the submission of allegations 
                                described in subclause (I). Such 
                                template shall require that the 
                                submission include a certification by 
                                the pharmacy that the information 
                                included is accurate, complete, and 
                                true to the best of the knowledge, 
                                information, and belief of such 
                                pharmacy.
                                    ``(V) Preventing frivolous 
                                allegations.--In the case where the 
                                Secretary determines that a pharmacy 
                                has submitted frivolous allegations 
                                under this clause on a routine basis, 
                                the Secretary may temporarily prohibit 
                                such pharmacy from using the allegation 
                                submission process under this clause, 
                                as determined appropriate by the 
                                Secretary.
                                    ``(VI) Exemption from freedom of 
                                information act.--Allegations submitted 
                                under this clause shall be exempt from 
                                disclosure under section 552 of title 
                                5, United States Code.
                                    ``(VII) Rule of construction.--
                                Nothing in this clause shall be 
                                construed as limiting the ability of a 
                                pharmacy to pursue other legal actions 
                                or remedies, consistent with applicable 
                                Federal or State law, with respect to a 
                                potential violation of a requirement 
                                described in this subparagraph.
                                    ``(VIII) Anti-retaliation and anti-
                                coercion.--Consistent with applicable 
                                Federal or State law, a PDP sponsor 
                                shall not--
                                            ``(aa) retaliate against a 
                                        pharmacy for submitting any 
                                        allegations under this clause; 
                                        or
                                            ``(bb) coerce, intimidate, 
                                        threaten, or interfere with the 
                                        ability of a pharmacy to submit 
                                        any such allegations.
                            ``(ii) Investigation.--The Secretary shall 
                        investigate, as determined appropriate by the 
                        Secretary, allegations submitted pursuant to 
                        clause (i).
                            ``(iii) Enforcement.--
                                    ``(I) In general.--In the case 
                                where the Secretary determines that a 
                                PDP sponsor offering a prescription 
                                drug plan has violated the standards 
                                for reasonable and relevant contract 
                                terms and conditions under subparagraph 
                                (A)(ii), the Secretary may use 
                                authorities under sections 1857(g) and 
                                1860D-12(b)(3)(E) to impose civil 
                                monetary penalties or other 
                                intermediate sanctions.
                                    ``(II) Application of civil 
                                monetary penalties.--The provisions of 
                                section 1128A (other than subsections 
                                (a) and (b)) shall apply to a civil 
                                monetary penalty under this clause in 
                                the same manner as such provisions 
                                apply to a penalty or proceeding under 
                                section 1128A(a).''.
            (2) Conforming amendment.--Section 1857(g)(1) of the Social 
        Security Act (42 U.S.C. 1395w-27(g)(1)) is amended--
                    (A) in subparagraph (J), by striking ``or'' after 
                the semicolon;
                    (B) by redesignating subparagraph (K) as 
                subparagraph (L);
                    (C) by inserting after subparagraph (J), the 
                following new subparagraph:
                    ``(K) fails to comply with the standards for 
                reasonable and relevant contract terms and conditions 
                under subparagraph (A)(ii) of section 1860D-4(b)(1); 
                or'';
                    (D) in subparagraph (L), as redesignated by 
                subparagraph (B), by striking ``through (J)'' and 
                inserting ``through (K)''; and
                    (E) in the flush matter following subparagraph (L), 
                as so redesignated, by striking ``subparagraphs (A) 
                through (K)'' and inserting ``subparagraphs (A) through 
                (L)''.
    (d) Accountability of Pharmacy Benefit Managers for Violations of 
Reasonable and Relevant Contract Terms and Conditions.--
            (1) In general.--Section 1860D-12(b) of the Social Security 
        Act (42 U.S.C. 1395w-112) is amended by adding at the end the 
        following new paragraph:
            ``(9) Accountability of pharmacy benefit managers for 
        violations of reasonable and relevant contract terms and 
        conditions.--For plan years beginning on or after January 1, 
        2028, each contract entered into with a PDP sponsor under this 
        part with respect to a prescription drug plan offered by such 
        sponsor shall provide that any pharmacy benefit manager acting 
        on behalf of such sponsor has a written agreement with the PDP 
        sponsor under which the pharmacy benefit manager agrees to 
        reimburse the PDP sponsor for any amounts paid by such sponsor 
        under section 1860D-4(b)(1)(F)(iii)(I) to the Secretary as a 
        result of a violation described in such section if such 
        violation is related to a responsibility delegated to the 
        pharmacy benefit manager by such PDP sponsor.''.
            (2) MA-PD plans.--Section 1857(f)(3) of the Social Security 
        Act (42 U.S.C. 1395w-27(f)(3)) is amended by adding at the end 
        the following new subparagraph:
                    ``(F) Accountability of pharmacy benefit managers 
                for violations of reasonable and relevant contract 
                terms.--For plan years beginning on or after January 1, 
                2028, section 1860D-12(b)(9).''.
    (e) Biennial Report on Enforcement and Oversight of Pharmacy Access 
Requirements.--Section 1860D-42 of the Social Security Act (42 U.S.C. 
1395w-152), as amended by subsection (b), is amended by adding at the 
end the following new subsection:
    ``(f) Biennial Report on Enforcement and Oversight of Pharmacy 
Access Requirements.--
            ``(1) In general.--Not later than 2 years after the date of 
        enactment of this subsection, and at least once every 2 years 
        thereafter, the Secretary shall publish a report on enforcement 
        and oversight actions and activities undertaken by the 
        Secretary with respect to the requirements under section 1860D-
        4(b)(1).
            ``(2) Limitation.--A report under paragraph (1) shall not 
        disclose--
                    ``(A) identifiable information about individuals or 
                entities unless such information is otherwise publicly 
                available; or
                    ``(B) trade secrets with respect to any 
                entities.''.
    (f) Funding.--In addition to amounts otherwise available, there is 
appropriated to the Centers for Medicare & Medicaid Services Program 
Management Account, out of any money in the Treasury not otherwise 
appropriated, $188,000,000 for fiscal year 2025, to remain available 
until expended, to carry out this section.

SEC. 227. MODERNIZING AND ENSURING PBM ACCOUNTABILITY.

    (a) In General.--
            (1) Prescription drug plans.--Section 1860D-12 of the 
        Social Security Act (42 U.S.C. 1395w-112) is amended by adding 
        at the end the following new subsection:
    ``(h) Requirements Relating to Pharmacy Benefit Managers.--For plan 
years beginning on or after January 1, 2028:
            ``(1) Agreements with pharmacy benefit managers.--Each 
        contract entered into with a PDP sponsor under this part with 
        respect to a prescription drug plan offered by such sponsor 
        shall provide that any pharmacy benefit manager acting on 
        behalf of such sponsor has a written agreement with the PDP 
        sponsor under which the pharmacy benefit manager, and any 
        affiliates of such pharmacy benefit manager, as applicable, 
        agree to meet the following requirements:
                    ``(A) No income other than bona fide service 
                fees.--
                            ``(i) In general.--The pharmacy benefit 
                        manager and any affiliate of such pharmacy 
                        benefit manager shall not derive any 
                        remuneration with respect to any services 
                        provided on behalf of any entity or individual, 
                        in connection with the utilization of covered 
                        part D drugs, from any such entity or 
                        individual other than bona fide service fees, 
                        subject to clauses (ii) and (iii).
                            ``(ii) Incentive payments.--For the 
                        purposes of this subsection, an incentive 
                        payment (as determined by the Secretary) paid 
                        by a PDP sponsor to a pharmacy benefit manager 
                        that is performing services on behalf of such 
                        sponsor shall be deemed a `bona fide service 
                        fee' (even if such payment does not otherwise 
                        meet the definition of such term under 
                        paragraph (7)(B)) if such payment is a flat 
                        dollar amount, is consistent with fair market 
                        value (as specified by the Secretary), is 
                        related to services actually performed by the 
                        pharmacy benefit manager or affiliate of such 
                        pharmacy benefit manager, on behalf of the PDP 
                        sponsor making such payment, in connection with 
                        the utilization of covered part D drugs, and 
                        meets additional requirements, if any, as 
                        determined appropriate by the Secretary.
                            ``(iii) Clarification on rebates and 
                        discounts used to lower costs for covered part 
                        d drugs.--Rebates, discounts, and other price 
                        concessions received by a pharmacy benefit 
                        manager or an affiliate of a pharmacy benefit 
                        manager from manufacturers, even if such price 
                        concessions are calculated as a percentage of a 
                        drug's price, shall not be considered a 
                        violation of the requirements of clause (i) if 
                        they are fully passed through to a PDP sponsor 
                        and are compliant with all regulatory and 
                        subregulatory requirements related to direct 
                        and indirect remuneration for manufacturer 
                        rebates under this part, including in cases 
                        where a PDP sponsor is acting as a pharmacy 
                        benefit manager on behalf of a prescription 
                        drug plan offered by such PDP sponsor.
                            ``(iv) Evaluation of remuneration 
                        arrangements.--Components of subsets of 
                        remuneration arrangements (such as fees or 
                        other forms of compensation paid to or retained 
                        by the pharmacy benefit manager or affiliate of 
                        such pharmacy benefit manager), as determined 
                        appropriate by the Secretary, between pharmacy 
                        benefit managers or affiliates of such pharmacy 
                        benefit managers, as applicable, and other 
                        entities involved in the dispensing or 
                        utilization of covered part D drugs (including 
                        PDP sponsors, manufacturers, pharmacies, and 
                        other entities as determined appropriate by the 
                        Secretary) shall be subject to review by the 
                        Secretary, in consultation with the Office of 
                        the Inspector General of the Department of 
                        Health and Human Services, as determined 
                        appropriate by the Secretary. The Secretary, in 
                        consultation with the Office of the Inspector 
                        General, shall review whether remuneration 
                        under such arrangements is consistent with fair 
                        market value (as specified by the Secretary) 
                        through reviews and assessments of such 
                        remuneration, as determined appropriate.
                            ``(v) Disgorgement.--The pharmacy benefit 
                        manager shall disgorge any remuneration paid to 
                        such pharmacy benefit manager or an affiliate 
                        of such pharmacy benefit manager in violation 
                        of this subparagraph to the PDP sponsor.
                            ``(vi) Additional requirements.--The 
                        pharmacy benefit manager shall--
                                    ``(I) enter into a written 
                                agreement with any affiliate of such 
                                pharmacy benefit manager, under which 
                                the affiliate shall identify and 
                                disgorge any remuneration described in 
                                clause (v) to the pharmacy benefit 
                                manager; and
                                    ``(II) attest, subject to any 
                                requirements determined appropriate by 
                                the Secretary, that the pharmacy 
                                benefit manager has entered into a 
                                written agreement described in 
                                subclause (I) with any relevant 
                                affiliate of the pharmacy benefit 
                                manager.
                    ``(B) Transparency regarding guarantees and cost 
                performance evaluations.--The pharmacy benefit manager 
                shall--
                            ``(i) define, interpret, and apply, in a 
                        fully transparent and consistent manner for 
                        purposes of calculating or otherwise evaluating 
                        pharmacy benefit manager performance against 
                        pricing guarantees or similar cost performance 
                        measurements related to rebates, discounts, 
                        price concessions, or net costs, terms such 
                        as--
                                    ``(I) `generic drug', in a manner 
                                consistent with the definition of the 
                                term under section 423.4 of title 42, 
                                Code of Federal Regulations, or a 
                                successor regulation;
                                    ``(II) `brand name drug', in a 
                                manner consistent with the definition 
                                of the term under section 423.4 of 
                                title 42, Code of Federal Regulations, 
                                or a successor regulation;
                                    ``(III) `specialty drug';
                                    ``(IV) `rebate'; and
                                    ``(V) `discount';
                            ``(ii) identify any drugs, claims, or price 
                        concessions excluded from any pricing guarantee 
                        or other cost performance measure in a clear 
                        and consistent manner; and
                            ``(iii) where a pricing guarantee or other 
                        cost performance measure is based on a pricing 
                        benchmark other than the wholesale acquisition 
                        cost (as defined in section 1847A(c)(6)(B)) of 
                        a drug, calculate and provide a wholesale 
                        acquisition cost-based equivalent to the 
                        pricing guarantee or other cost performance 
                        measure.
                    ``(C) Provision of information.--
                            ``(i) In general.--Not later than July 1 of 
                        each year, beginning in 2028, the pharmacy 
                        benefit manager shall submit to the PDP 
                        sponsor, and to the Secretary, a report, in 
                        accordance with this subparagraph, and shall 
                        make such report available to such sponsor at 
                        no cost to such sponsor in a format specified 
                        by the Secretary under paragraph (5). Each such 
                        report shall include, with respect to such PDP 
                        sponsor and each plan offered by such sponsor, 
                        the following information with respect to the 
                        previous plan year:
                                    ``(I) A list of all drugs covered 
                                by the plan that were dispensed 
                                including, with respect to each such 
                                drug--
                                            ``(aa) the brand name, 
                                        generic or non-proprietary 
                                        name, and National Drug Code;
                                            ``(bb) the number of plan 
                                        enrollees for whom the drug was 
                                        dispensed, the total number of 
                                        prescription claims for the 
                                        drug (including original 
                                        prescriptions and refills, 
                                        counted as separate claims), 
                                        and the total number of dosage 
                                        units of the drug dispensed;
                                            ``(cc) the number of 
                                        prescription claims described 
                                        in item (bb) by each type of 
                                        dispensing channel through 
                                        which the drug was dispensed, 
                                        including retail, mail order, 
                                        specialty pharmacy, long term 
                                        care pharmacy, home infusion 
                                        pharmacy, or other types of 
                                        pharmacies or providers;
                                            ``(dd) the average 
                                        wholesale acquisition cost, 
                                        listed as cost per day's 
                                        supply, cost per dosage unit, 
                                        and cost per typical course of 
                                        treatment (as applicable);
                                            ``(ee) the average 
                                        wholesale price for the drug, 
                                        listed as price per day's 
                                        supply, price per dosage unit, 
                                        and price per typical course of 
                                        treatment (as applicable);
                                            ``(ff) the total out-of-
                                        pocket spending by plan 
                                        enrollees on such drug after 
                                        application of any benefits 
                                        under the plan, including plan 
                                        enrollee spending through 
                                        copayments, coinsurance, and 
                                        deductibles;
                                            ``(gg) total rebates paid 
                                        by the manufacturer on the drug 
                                        as reported under the Detailed 
                                        DIR Report (or any successor 
                                        report) submitted by such 
                                        sponsor to the Centers for 
                                        Medicare & Medicaid Services;
                                            ``(hh) all other direct or 
                                        indirect remuneration on the 
                                        drug as reported under the 
                                        Detailed DIR Report (or any 
                                        successor report) submitted by 
                                        such sponsor to the Centers for 
                                        Medicare & Medicaid Services;
                                            ``(ii) the average pharmacy 
                                        reimbursement amount paid by 
                                        the plan for the drug in the 
                                        aggregate and disaggregated by 
                                        dispensing channel identified 
                                        in item (cc);
                                            ``(jj) the average National 
                                        Average Drug Acquisition Cost 
                                        (NADAC); and
                                            ``(kk) total manufacturer-
                                        derived revenue, inclusive of 
                                        bona fide service fees, 
                                        attributable to the drug and 
                                        retained by the pharmacy 
                                        benefit manager and any 
                                        affiliate of such pharmacy 
                                        benefit manager.
                                    ``(II) In the case of a pharmacy 
                                benefit manager that has an affiliate 
                                that is a retail, mail order, or 
                                specialty pharmacy, with respect to 
                                drugs covered by such plan that were 
                                dispensed, the following information:
                                            ``(aa) The percentage of 
                                        total prescriptions that were 
                                        dispensed by pharmacies that 
                                        are an affiliate of the 
                                        pharmacy benefit manager for 
                                        each drug.
                                            ``(bb) The interquartile 
                                        range of the total combined 
                                        costs paid by the plan and plan 
                                        enrollees, per dosage unit, per 
                                        course of treatment, per 30-day 
                                        supply, and per 90-day supply 
                                        for each drug dispensed by 
                                        pharmacies that are not an 
                                        affiliate of the pharmacy 
                                        benefit manager and that are 
                                        included in the pharmacy 
                                        network of such plan.
                                            ``(cc) The interquartile 
                                        range of the total combined 
                                        costs paid by the plan and plan 
                                        enrollees, per dosage unit, per 
                                        course of treatment, per 30-day 
                                        supply, and per 90-day supply 
                                        for each drug dispensed by 
                                        pharmacies that are an 
                                        affiliate of the pharmacy 
                                        benefit manager and that are 
                                        included in the pharmacy 
                                        network of such plan.
                                            ``(dd) The lowest total 
                                        combined cost paid by the plan 
                                        and plan enrollees, per dosage 
                                        unit, per course of treatment, 
                                        per 30-day supply, and per 90-
                                        day supply, for each drug that 
                                        is available from any pharmacy 
                                        included in the pharmacy 
                                        network of such plan.
                                            ``(ee) The difference 
                                        between the average acquisition 
                                        cost of the affiliate, such as 
                                        a pharmacy or other entity that 
                                        acquires prescription drugs, 
                                        that initially acquires the 
                                        drug and the amount reported 
                                        under subclause (I)(jj) for 
                                        each drug.
                                            ``(ff) A list inclusive of 
                                        the brand name, generic or non-
                                        proprietary name, and National 
                                        Drug Code of covered part D 
                                        drugs subject to an agreement 
                                        with a covered entity under 
                                        section 340B of the Public 
                                        Health Service Act for which 
                                        the pharmacy benefit manager or 
                                        an affiliate of the pharmacy 
                                        benefit manager had a contract 
                                        or other arrangement with such 
                                        a covered entity in the service 
                                        area of such plan.
                                    ``(III) Where a drug approved under 
                                section 505(c) of the Federal Food, 
                                Drug, and Cosmetic Act (referred to in 
                                this subclause as the `listed drug') is 
                                covered by the plan, the following 
                                information:
                                            ``(aa) A list of currently 
                                        marketed generic drugs approved 
                                        under section 505(j) of the 
                                        Federal Food, Drug, and 
                                        Cosmetic Act pursuant to an 
                                        application that references 
                                        such listed drug that are not 
                                        covered by the plan, are 
                                        covered on the same formulary 
                                        tier or a formulary tier 
                                        typically associated with 
                                        higher cost-sharing than the 
                                        listed drug, or are subject to 
                                        utilization management that the 
                                        listed drug is not subject to.
                                            ``(bb) The estimated 
                                        average beneficiary cost-
                                        sharing under the plan for a 
                                        30-day supply of the listed 
                                        drug.
                                            ``(cc) Where a generic drug 
                                        listed under item (aa) is on a 
                                        formulary tier typically 
                                        associated with higher cost-
                                        sharing than the listed drug, 
                                        the estimated average cost-
                                        sharing that a beneficiary 
                                        would have paid for a 30-day 
                                        supply of each of the generic 
                                        drugs described in item (aa), 
                                        had the plan provided coverage 
                                        for such drugs on the same 
                                        formulary tier as the listed 
                                        drug.
                                            ``(dd) A written 
                                        justification for providing 
                                        more favorable coverage of the 
                                        listed drug than the generic 
                                        drugs described in item (aa).
                                            ``(ee) The number of 
                                        currently marketed generic 
                                        drugs approved under section 
                                        505(j) of the Federal Food, 
                                        Drug, and Cosmetic Act pursuant 
                                        to an application that 
                                        references such listed drug.
                                    ``(IV) Where a reference product 
                                (as defined in section 351(i) of the 
                                Public Health Service Act) is covered 
                                by the plan, the following information:
                                            ``(aa) A list of currently 
                                        marketed biosimilar biological 
                                        products licensed under section 
                                        351(k) of the Public Health 
                                        Service Act pursuant to an 
                                        application that refers to such 
                                        reference product that are not 
                                        covered by the plan, are 
                                        covered on the same formulary 
                                        tier or a formulary tier 
                                        typically associated with 
                                        higher cost-sharing than the 
                                        reference product, or are 
                                        subject to utilization 
                                        management that the reference 
                                        product is not subject to.
                                            ``(bb) The estimated 
                                        average beneficiary cost-
                                        sharing under the plan for a 
                                        30-day supply of the reference 
                                        product.
                                            ``(cc) Where a biosimilar 
                                        biological product listed under 
                                        item (aa) is on a formulary 
                                        tier typically associated with 
                                        higher cost-sharing than the 
                                        reference product, the 
                                        estimated average cost-sharing 
                                        that a beneficiary would have 
                                        paid for a 30-day supply of 
                                        each of the biosimilar 
                                        biological products described 
                                        in item (aa), had the plan 
                                        provided coverage for such 
                                        products on the same formulary 
                                        tier as the reference product.
                                            ``(dd) A written 
                                        justification for providing 
                                        more favorable coverage of the 
                                        reference product than the 
                                        biosimilar biological product 
                                        described in item (aa).
                                            ``(ee) The number of 
                                        currently marketed biosimilar 
                                        biological products licensed 
                                        under section 351(k) of the 
                                        Public Health Service Act, 
                                        pursuant to an application that 
                                        refers to such reference 
                                        product.
                                    ``(V) Total gross spending on 
                                covered part D drugs by the plan, not 
                                net of rebates, fees, discounts, or 
                                other direct or indirect remuneration.
                                    ``(VI) The total amount retained by 
                                the pharmacy benefit manager or an 
                                affiliate of such pharmacy benefit 
                                manager in revenue related to 
                                utilization of covered part D drugs 
                                under that plan, inclusive of bona fide 
                                service fees.
                                    ``(VII) The total spending on 
                                covered part D drugs net of rebates, 
                                fees, discounts, or other direct and 
                                indirect remuneration by the plan.
                                    ``(VIII) An explanation of any 
                                benefit design parameters under such 
                                plan that encourage plan enrollees to 
                                fill prescriptions at pharmacies that 
                                are an affiliate of such pharmacy 
                                benefit manager, such as mail and 
                                specialty home delivery programs, and 
                                retail and mail auto-refill programs.
                                    ``(IX) The following information:
                                            ``(aa) A list of all 
                                        brokers, consultants, advisors, 
                                        and auditors that receive 
                                        compensation from the pharmacy 
                                        benefit manager or an affiliate 
                                        of such pharmacy benefit 
                                        manager for referrals, 
                                        consulting, auditing, or other 
                                        services offered to PDP 
                                        sponsors related to pharmacy 
                                        benefit management services.
                                            ``(bb) The amount of 
                                        compensation provided by such 
                                        pharmacy benefit manager or 
                                        affiliate to each such broker, 
                                        consultant, advisor, and 
                                        auditor.
                                            ``(cc) The methodology for 
                                        calculating the amount of 
                                        compensation provided by such 
                                        pharmacy benefit manager or 
                                        affiliate, for each such 
                                        broker, consultant, advisor, 
                                        and auditor.
                                    ``(X) A list of all affiliates of 
                                the pharmacy benefit manager.
                                    ``(XI) A summary document submitted 
                                in a standardized template developed by 
                                the Secretary that includes such 
                                information described in subclauses (I) 
                                through (X).
                            ``(ii) Written explanation of contracts or 
                        agreements with drug manufacturers.--
                                    ``(I) In general.--The pharmacy 
                                benefit manager shall, not later than 
                                30 days after the finalization of any 
                                contract or agreement between such 
                                pharmacy benefit manager or an 
                                affiliate of such pharmacy benefit 
                                manager and a drug manufacturer (or 
                                subsidiary, agent, or entity affiliated 
                                with such drug manufacturer) that makes 
                                rebates, discounts, payments, or other 
                                financial incentives related to one or 
                                more covered part D drugs or other 
                                prescription drugs, as applicable, of 
                                the manufacturer directly or indirectly 
                                contingent upon coverage, formulary 
                                placement, or utilization management 
                                conditions on any other covered part D 
                                drugs or other prescription drugs, as 
                                applicable, submit to the PDP sponsor a 
                                written explanation of such contract or 
                                agreement.
                                    ``(II) Requirements.--A written 
                                explanation under subclause (I) shall--
                                            ``(aa) include the 
                                        manufacturer subject to the 
                                        contract or agreement, all 
                                        covered part D drugs and other 
                                        prescription drugs, as 
                                        applicable, subject to the 
                                        contract or agreement and the 
                                        manufacturers of such drugs, 
                                        and a high-level description of 
                                        the terms of such contract or 
                                        agreement and how such terms 
                                        apply to such drugs; and
                                            ``(bb) be certified by the 
                                        Chief Executive Officer, Chief 
                                        Financial Officer, or General 
                                        Counsel of such pharmacy 
                                        benefit manager, or affiliate 
                                        of such pharmacy benefit 
                                        manager, as applicable, or an 
                                        individual delegated with the 
                                        authority to sign on behalf of 
                                        one of these officers, who 
                                        reports directly to the 
                                        officer.
                                    ``(III) Definition of other 
                                prescription drugs.--For purposes of 
                                this clause, the term `other 
                                prescription drugs' means prescription 
                                drugs covered as supplemental benefits 
                                under this part or prescription drugs 
                                paid outside of this part.
                    ``(D) Audit rights.--
                            ``(i) In general.--Not less than once a 
                        year, at the request of the PDP sponsor, the 
                        pharmacy benefit manager shall allow for an 
                        audit of the pharmacy benefit manager to ensure 
                        compliance with all terms and conditions under 
                        the written agreement described in this 
                        paragraph and the accuracy of information 
                        reported under subparagraph (C).
                            ``(ii) Auditor.--The PDP sponsor shall have 
                        the right to select an auditor. The pharmacy 
                        benefit manager shall not impose any 
                        limitations on the selection of such auditor.
                            ``(iii) Provision of information.--The 
                        pharmacy benefit manager shall make available 
                        to such auditor all records, data, contracts, 
                        and other information necessary to confirm the 
                        accuracy of information provided under 
                        subparagraph (C), subject to reasonable 
                        restrictions on how such information must be 
                        reported to prevent redisclosure of such 
                        information.
                            ``(iv) Timing.--The pharmacy benefit 
                        manager must provide information under clause 
                        (iii) and other information, data, and records 
                        relevant to the audit to such auditor within 6 
                        months of the initiation of the audit and 
                        respond to requests for additional information 
                        from such auditor within 30 days after the 
                        request for additional information.
                            ``(v) Information from affiliates.--The 
                        pharmacy benefit manager shall be responsible 
                        for providing to such auditor information 
                        required to be reported under subparagraph (C) 
                        or under clause (iii) of this subparagraph that 
                        is owned or held by an affiliate of such 
                        pharmacy benefit manager.
            ``(2) Enforcement.--
                    ``(A) In general.--Each PDP sponsor shall--
                            ``(i) disgorge to the Secretary any amounts 
                        disgorged to the PDP sponsor by a pharmacy 
                        benefit manager under paragraph (1)(A)(v);
                            ``(ii) require, in a written agreement with 
                        any pharmacy benefit manager acting on behalf 
                        of such sponsor or affiliate of such pharmacy 
                        benefit manager, that such pharmacy benefit 
                        manager or affiliate reimburse the PDP sponsor 
                        for any civil money penalty imposed on the PDP 
                        sponsor as a result of the failure of the 
                        pharmacy benefit manager or affiliate to meet 
                        the requirements of paragraph (1) that are 
                        applicable to the pharmacy benefit manager or 
                        affiliate under the agreement; and
                            ``(iii) require, in a written agreement 
                        with any such pharmacy benefit manager acting 
                        on behalf of such sponsor or affiliate of such 
                        pharmacy benefit manager, that such pharmacy 
                        benefit manager or affiliate be subject to 
                        punitive remedies for breach of contract for 
                        failure to comply with the requirements 
                        applicable under paragraph (1).
                    ``(B) Reporting of alleged violations.--The 
                Secretary shall make available and maintain a mechanism 
                for manufacturers, PDP sponsors, pharmacies, and other 
                entities that have contractual relationships with 
                pharmacy benefit managers or affiliates of such 
                pharmacy benefit managers to report, on a confidential 
                basis, alleged violations of paragraph (1)(A) or 
                subparagraph (C).
                    ``(C) Anti-retaliation and anti-coercion.--
                Consistent with applicable Federal or State law, a PDP 
                sponsor shall not--
                            ``(i) retaliate against an individual or 
                        entity for reporting an alleged violation under 
                        subparagraph (B); or
                            ``(ii) coerce, intimidate, threaten, or 
                        interfere with the ability of an individual or 
                        entity to report any such alleged violations.
            ``(3) Certification of compliance.--
                    ``(A) In general.--Each PDP sponsor shall furnish 
                to the Secretary (at a time and in a manner specified 
                by the Secretary) an annual certification of compliance 
                with this subsection, as well as such information as 
                the Secretary determines necessary to carry out this 
                subsection.
                    ``(B) Implementation.--Notwithstanding any other 
                provision of law, the Secretary may implement this 
                paragraph by program instruction or otherwise.
            ``(4) Rule of construction.--Nothing in this subsection 
        shall be construed as--
                    ``(A) prohibiting flat dispensing fees or 
                reimbursement or payment for ingredient costs 
                (including customary, industry-standard discounts 
                directly related to drug acquisition that are retained 
                by pharmacies or wholesalers) to entities that acquire 
                or dispense prescription drugs; or
                    ``(B) modifying regulatory requirements or sub-
                regulatory program instruction or guidance related to 
                pharmacy payment, reimbursement, or dispensing fees.
            ``(5) Standard formats.--
                    ``(A) In general.--Not later than June 1, 2027, the 
                Secretary shall specify standard, machine-readable 
                formats for pharmacy benefit managers to submit annual 
                reports required under paragraph (1)(C)(i).
                    ``(B) Implementation.--Notwithstanding any other 
                provision of law, the Secretary may implement this 
                paragraph by program instruction or otherwise.
            ``(6) Confidentiality.--
                    ``(A) In general.--Information disclosed by a 
                pharmacy benefit manager, an affiliate of a pharmacy 
                benefit manager, a PDP sponsor, or a pharmacy under 
                this subsection that is not otherwise publicly 
                available or available for purchase shall not be 
                disclosed by the Secretary or a PDP sponsor receiving 
                the information, except that the Secretary may disclose 
                the information for the following purposes:
                            ``(i) As the Secretary determines necessary 
                        to carry out this part.
                            ``(ii) To permit the Comptroller General to 
                        review the information provided.
                            ``(iii) To permit the Director of the 
                        Congressional Budget Office to review the 
                        information provided.
                            ``(iv) To permit the Executive Director of 
                        the Medicare Payment Advisory Commission to 
                        review the information provided.
                            ``(v) To the Attorney General for the 
                        purposes of conducting oversight and 
                        enforcement under this title.
                            ``(vi) To the Inspector General of the 
                        Department of Health and Human Services in 
                        accordance with its authorities under the 
                        Inspector General Act of 1978 (section 406 of 
                        title 5, United States Code), and other 
                        applicable statutes.
                    ``(B) Restriction on use of information.--The 
                Secretary, the Comptroller General, the Director of the 
                Congressional Budget Office, and the Executive Director 
                of the Medicare Payment Advisory Commission shall not 
                report on or disclose information disclosed pursuant to 
                subparagraph (A) to the public in a manner that would 
                identify--
                            ``(i) a specific pharmacy benefit manager, 
                        affiliate, pharmacy, manufacturer, wholesaler, 
                        PDP sponsor, or plan; or
                            ``(ii) contract prices, rebates, discounts, 
                        or other remuneration for specific drugs in a 
                        manner that may allow the identification of 
                        specific contracting parties or of such 
                        specific drugs.
            ``(7) Definitions.--For purposes of this subsection:
                    ``(A) Affiliate.--The term `affiliate' means, with 
                respect to any pharmacy benefit manager or PDP sponsor, 
                any entity that, directly or indirectly--
                            ``(i) owns or is owned by, controls or is 
                        controlled by, or is otherwise related in any 
                        ownership structure to such pharmacy benefit 
                        manager or PDP sponsor; or
                            ``(ii) acts as a contractor, principal, or 
                        agent to such pharmacy benefit manager or PDP 
                        sponsor, insofar as such contractor, principal, 
                        or agent performs any of the functions 
                        described under subparagraph (C).
                    ``(B) Bona fide service fee.--The term `bona fide 
                service fee' means a fee that is reflective of the fair 
                market value (as specified by the Secretary, through 
                notice and comment rulemaking) for a bona fide, 
                itemized service actually performed on behalf of an 
                entity, that the entity would otherwise perform (or 
                contract for) in the absence of the service arrangement 
                and that is not passed on in whole or in part to a 
                client or customer, whether or not the entity takes 
                title to the drug. Such fee must be a flat dollar 
                amount and shall not be directly or indirectly based 
                on, or contingent upon--
                            ``(i) drug price, such as wholesale 
                        acquisition cost or drug benchmark price (such 
                        as average wholesale price);
                            ``(ii) the amount of discounts, rebates, 
                        fees, or other direct or indirect remuneration 
                        with respect to covered part D drugs dispensed 
                        to enrollees in a prescription drug plan, 
                        except as permitted pursuant to paragraph 
                        (1)(A)(ii);
                            ``(iii) coverage or formulary placement 
                        decisions or the volume or value of any 
                        referrals or business generated between the 
                        parties to the arrangement; or
                            ``(iv) any other amounts or methodologies 
                        prohibited by the Secretary.
                    ``(C) Pharmacy benefit manager.--The term `pharmacy 
                benefit manager' means any person or entity that, 
                either directly or through an intermediary, acts as a 
                price negotiator or group purchaser on behalf of a PDP 
                sponsor or prescription drug plan, or manages the 
                prescription drug benefits provided by such sponsor or 
                plan, including the processing and payment of claims 
                for prescription drugs, the performance of drug 
                utilization review, the processing of drug prior 
                authorization requests, the adjudication of appeals or 
                grievances related to the prescription drug benefit, 
                contracting with network pharmacies, controlling the 
                cost of covered part D drugs, or the provision of 
                related services. Such term includes any person or 
                entity that carries out one or more of the activities 
                described in the preceding sentence, irrespective of 
                whether such person or entity calls itself a `pharmacy 
                benefit manager'.''.
            (2) MA-PD plans.--Section 1857(f)(3) of the Social Security 
        Act (42 U.S.C. 1395w-27(f)(3)) is amended by adding at the end 
        the following new subparagraph:
                    ``(F) Requirements relating to pharmacy benefit 
                managers.--For plan years beginning on or after January 
                1, 2028, section 1860D-12(h).''.
            (3) Nonapplication of paperwork reduction act.--Chapter 35 
        of title 44, United States Code, shall not apply to the 
        implementation of this subsection.
            (4) Funding.--
                    (A) Secretary.--In addition to amounts otherwise 
                available, there is appropriated to the Centers for 
                Medicare & Medicaid Services Program Management 
                Account, out of any money in the Treasury not otherwise 
                appropriated, $113,000,000 for fiscal year 2025, to 
                remain available until expended, to carry out this 
                subsection.
                    (B) OIG.--In addition to amounts otherwise 
                available, there is appropriated to the Inspector 
                General of the Department of Health and Human Services, 
                out of any money in the Treasury not otherwise 
                appropriated, $20,000,000 for fiscal year 2025, to 
                remain available until expended, to carry out this 
                subsection.
    (b) GAO Study and Report on Price-Related Compensation Across the 
Supply Chain.--
            (1) Study.--The Comptroller General of the United States 
        (in this subsection referred to as the ``Comptroller General'') 
        shall conduct a study describing the use of compensation and 
        payment structures related to a prescription drug's price 
        within the retail prescription drug supply chain in part D of 
        title XVIII of the Social Security Act (42 U.S.C. 1395w-101 et 
        seq.). Such study shall summarize information from Federal 
        agencies and industry experts, to the extent available, with 
        respect to the following:
                    (A) The type, magnitude, other features (such as 
                the pricing benchmarks used), and prevalence of 
                compensation and payment structures related to a 
                prescription drug's price, such as calculating fee 
                amounts as a percentage of a prescription drug's price, 
                between intermediaries in the prescription drug supply 
                chain, including--
                            (i) pharmacy benefit managers;
                            (ii) PDP sponsors offering prescription 
                        drug plans and Medicare Advantage organizations 
                        offering MA-PD plans;
                            (iii) drug wholesalers;
                            (iv) pharmacies;
                            (v) manufacturers;
                            (vi) pharmacy services administrative 
                        organizations;
                            (vii) brokers, auditors, consultants, and 
                        other entities that--
                                    (I) advise PDP sponsors offering 
                                prescription drug plans and Medicare 
                                Advantage organizations offering MA-PD 
                                plans regarding pharmacy benefits; or
                                    (II) review PDP sponsor and 
                                Medicare Advantage organization 
                                contracts with pharmacy benefit 
                                managers; and
                            (viii) other service providers that 
                        contract with any of the entities described in 
                        clauses (i) through (vii) that may use price-
                        related compensation and payment structures, 
                        such as rebate aggregators (or other entities 
                        that negotiate or process price concessions on 
                        behalf of pharmacy benefit managers, plan 
                        sponsors, or pharmacies).
                    (B) The primary business models and compensation 
                structures for each category of intermediary described 
                in subparagraph (A).
                    (C) Variation in price-related compensation 
                structures between affiliated entities (such as 
                entities with common ownership, either full or partial, 
                and subsidiary relationships) and unaffiliated 
                entities.
                    (D) Potential conflicts of interest among 
                contracting entities related to the use of prescription 
                drug price-related compensation structures, such as the 
                potential for fees or other payments set as a 
                percentage of a prescription drug's price to advantage 
                formulary selection, distribution, or purchasing of 
                prescription drugs with higher prices.
                    (E) Notable differences, if any, in the use and 
                level of price-based compensation structures over time 
                and between different market segments, such as under 
                part D of title XVIII of the Social Security Act (42 
                U.S.C. 1395w-101 et seq.) and the Medicaid program 
                under title XIX of such Act (42 U.S.C. 1396 et seq.).
                    (F) The effects of drug price-related compensation 
                structures and alternative compensation structures on 
                Federal health care programs and program beneficiaries, 
                including with respect to cost-sharing, premiums, 
                Federal outlays, biosimilar and generic drug adoption 
                and utilization, drug shortage risks, and the potential 
                for fees set as a percentage of a drug's price to 
                advantage the formulary selection, distribution, or 
                purchasing of drugs with higher prices.
                    (G) Other issues determined to be relevant and 
                appropriate by the Comptroller General.
            (2) Report.--Not later than 2 years after the date of 
        enactment of this section, the Comptroller General shall submit 
        to Congress a report containing the results of the study 
        conducted under paragraph (1), together with recommendations 
        for such legislation and administrative action as the 
        Comptroller General determines appropriate.
    (c) MedPAC Reports on Agreements With Pharmacy Benefit Managers 
With Respect to Prescription Drug Plans and MA-PD Plans.--
            (1) In general.--The Medicare Payment Advisory Commission 
        shall submit to Congress the following reports:
                    (A) Initial report.--Not later than the first March 
                15 occurring after the date that is 2 years after the 
                date on which the Secretary makes the data available to 
                the Commission, a report regarding agreements with 
                pharmacy benefit managers with respect to prescription 
                drug plans and MA-PD plans. Such report shall include, 
                to the extent practicable--
                            (i) a description of trends and patterns, 
                        including relevant averages, totals, and other 
                        figures for the types of information submitted;
                            (ii) an analysis of any differences in 
                        agreements and their effects on plan enrollee 
                        out-of-pocket spending and average pharmacy 
                        reimbursement, and other impacts; and
                            (iii) any recommendations the Commission 
                        determines appropriate.
                    (B) Final report.--Not later than 2 years after the 
                date on which the Commission submits the initial report 
                under subparagraph (A), a report describing any changes 
                with respect to the information described in 
                subparagraph (A) over time, together with any 
                recommendations the Commission determines appropriate.
            (2) Funding.--In addition to amounts otherwise available, 
        there is appropriated to the Medicare Payment Advisory 
        Commission, out of any money in the Treasury not otherwise 
        appropriated, $1,000,000 for fiscal year 2025, to remain 
        available until expended, to carry out this subsection.

SEC. 228. REQUIRING A SEPARATE IDENTIFICATION NUMBER AND AN ATTESTATION 
              FOR EACH OFF-CAMPUS OUTPATIENT DEPARTMENT OF A PROVIDER.

    (a) In General.--Section 1833(t) of the Social Security Act (42 
U.S.C. 1395l(t)) is amended by adding at the end the following new 
paragraph:
            ``(23) Use of unique health identifiers; attestation.--
                    ``(A) In general.--No payment may be made under 
                this subsection (or under an applicable payment system 
                pursuant to paragraph (21)) for items and services 
                furnished on or after January 1, 2026, by an off-campus 
                outpatient department of a provider (as defined in 
                subparagraph (C)) unless--
                            ``(i) such department has obtained, and 
                        such items and services are billed under, a 
                        standard unique health identifier for health 
                        care providers (as described in section 
                        1173(b)) that is separate from such identifier 
                        for such provider;
                            ``(ii) such provider has submitted to the 
                        Secretary, during the 2-year period ending on 
                        the date such items and services are so 
                        furnished, an initial provider-based status 
                        attestation that such department is compliant 
                        with the requirements described in section 
                        413.65 of title 42, Code of Federal Regulations 
                        (or a successor regulation); and
                            ``(iii) after such provider has submitted 
                        an attestation under clause (ii), such provider 
                        has submitted a subsequent attestation within 
                        the timeframe specified by the Secretary.
                    ``(B) Process for submission and review.--Not later 
                than 1 year after the date of enactment of this 
                paragraph, the Secretary shall, through notice and 
                comment rulemaking, establish a process for each 
                provider with an off-campus outpatient department of a 
                provider to submit an initial and subsequent 
                attestation pursuant to clauses (ii) and (iii), 
                respectively, of subparagraph (A), and for the 
                Secretary to review each such attestation and 
                determine, through site visits, remote audits, or other 
                means (as determined appropriate by the Secretary), 
                whether such department is compliant with the 
                requirements described in such subparagraph.
                    ``(C) Off-campus outpatient department of a 
                provider defined.--For purposes of this paragraph, the 
                term `off-campus outpatient department of a provider' 
                means a department of a provider (as defined in section 
                413.65 of title 42, Code of Federal Regulations, or any 
                successor regulation) that is not located--
                            ``(i) on the campus (as defined in such 
                        section) of such provider; or
                            ``(ii) within the distance (described in 
                        such definition of campus) from a remote 
                        location of a hospital facility (as defined in 
                        such section).''.
    (b) HHS OIG Analysis.--Not later than January 1, 2030, the 
Inspector General of the Department of Health and Human Services shall 
submit to Congress--
            (1) an analysis of the process established by the Secretary 
        of Health and Human Services to conduct the reviews and 
        determinations described in section 1833(t)(23)(B) of the 
        Social Security Act, as added by subsection (a) of this 
        section; and
            (2) recommendations based on such analysis, as the 
        Inspector General determines appropriate.

SEC. 229. MEDICARE SEQUESTRATION.

    Section 251A(6) of the Balanced Budget and Emergency Deficit 
Control Act of 1985 (2 U.S.C. 901a(6)) is amended--
            (1) in subparagraph (D), by striking ``such that,'' and all 
        that follows and inserting ``such that the payment reduction 
        shall be 2.0 percent.''; and
            (2) by adding at the end the following:
            ``(F) On the date on which the President submits the budget 
        under section 1105 of title 31, United States Code, for fiscal 
        year 2033, the President shall order a sequestration of 
        payments for the Medicare programs specified in section 256(d), 
        effective upon issuance, such that, notwithstanding the 2 
        percent limit specified in subparagraph (A) for such payments--
                    ``(i) with respect to the first 2 months in which 
                such order is effective for such fiscal year, the 
                payment reduction shall be 2.0 percent; and
                    ``(ii) with respect to the last 10 months in which 
                such order is effective for such fiscal year, the 
                payment reduction shall be 0 percent.''.

                        TITLE III--OTHER MATTERS

SEC. 301. SEXUAL RISK AVOIDANCE EDUCATION EXTENSION.

    Section 510 of the Social Security Act (42 U.S.C. 710) is amended--
            (1) in subsection (a)--
                    (A) in paragraph (1)--
                            (i) by striking ``and for the period'' and 
                        inserting ``for the period'';
                            (ii) by striking ``March 31, 2025'' and 
                        inserting ``September 30, 2025'';
                            (iii) by inserting ``and for the period 
                        beginning on October 1, 2025, and ending on 
                        December 31, 2025,'' before ``allot to each 
                        State''; and
                            (iv) by striking ``for fiscal year 2024 or 
                        2025'' and inserting ``for fiscal year 2024, 
                        2025, or 2026''; and
                    (B) in paragraph (2), by striking ``or 2025'' each 
                place it appears and inserting ``, 2025, or 2026''; and
            (2) in subsection (f)(1)--
                    (A) by striking ``and for the period'' and 
                inserting ``for the period'';
                    (B) by striking ``March 31, 2025'' and inserting 
                ``September 30, 2025''; and
                    (C) by inserting ``, and for the period beginning 
                on October 1, 2025, and ending on December 31, 2025, an 
                amount equal to the pro rata portion of the amount 
                appropriated for the corresponding period for fiscal 
                year 2025'' after ``corresponding period for fiscal 
                year 2024''.

SEC. 302. PERSONAL RESPONSIBILITY EDUCATION EXTENSION.

    Section 513 of the Social Security Act (42 U.S.C. 713) is amended--
            (1) in subsection (a)(1)--
                    (A) in subparagraph (A), in the matter preceding 
                clause (i)--
                            (i) by striking ``and for the period'' and 
                        inserting ``for the period'';
                            (ii) by striking ``March 31, 2025'' and 
                        inserting ``September 30, 2025''; and
                            (iii) by inserting ``and for the period 
                        beginning on October 1, 2025, and ending on 
                        December 31, 2025,'' before ``the Secretary 
                        shall allot''; and
                    (B) in subparagraph (B)(i)--
                            (i) by striking ``and for the period'' and 
                        inserting ``for the period'';
                            (ii) by striking ``March 31, 2025'' and 
                        inserting ``September 30, 2025''; and
                            (iii) by inserting ``, and for the period 
                        beginning on October 1, 2025, and ending on 
                        December 31, 2025'' before the period;
            (2) in subsection (c)(3), by striking ``fiscal year 2024 or 
        2025'' and inserting ``fiscal year 2024, 2025, or 2026''; and
            (3) in subsection (f)--
                    (A) by striking ``and for the period'' and 
                inserting ``for the period'';
                    (B) by striking ``March 31, 2025'' and inserting 
                ``September 30, 2025''; and
                    (C) by inserting ``, and for the period beginning 
                on October 1, 2025, and ending on December 31, 2025, an 
                amount equal to the pro rata portion of the amount 
                appropriated for the corresponding period for fiscal 
                year 2025'' after ``corresponding period for fiscal 
                year 2024''.

SEC. 303. EXTENSION OF FUNDING FOR FAMILY-TO-FAMILY HEALTH INFORMATION 
              CENTERS.

    Section 501(c)(1)(A)(viii) of the Social Security Act (42 U.S.C. 
701(c)(1)(A)(viii)) is amended--
            (1) by striking ``$3,000,000'' and inserting 
        ``$7,500,000''; and
            (2) by striking ``for the portion of fiscal year 2025 
        before April 1, 2025'' and inserting ``for the period beginning 
        on October 1, 2024, and ending on December 31, 2025''.

                   TITLE IV--PUBLIC HEALTH EXTENDERS

                         Subtitle A--Extensions

SEC. 401. EXTENSION FOR COMMUNITY HEALTH CENTERS, NATIONAL HEALTH 
              SERVICE CORPS, AND TEACHING HEALTH CENTERS THAT OPERATE 
              GME PROGRAMS.

    (a) Extension for Community Health Centers.--Section 10503(b)(1) of 
the Patient Protection and Affordable Care Act (42 U.S.C. 254b-2(b)(1)) 
is amended--
            (1) in subparagraph (H), by striking ``and'' at the end;
            (2) in subparagraph (I), by striking the period at the end 
        and inserting a semicolon; and
            (3) by adding at the end the following:
                    ``(J) $2,315,342,466 for the period beginning on 
                April 1, 2025, and ending on September 30, 2025; and
                    ``(K) $4,600,000,000 for fiscal year 2026; and''.
    (b) Extension for the National Health Service Corps.--Section 
10503(b)(2) of the Patient Protection and Affordable Care Act (42 
U.S.C. 254b-2(b)(2)) is amended--
            (1) in subparagraph (I), by striking ``and'' at the end;
            (2) in subparagraph (J), by striking the period at the end 
        and inserting a semicolon; and
            (3) by adding at the end the following:
                    ``(K) $176,712,329 for the period beginning on 
                April 1, 2025, and ending on September 30, 2025; and
                    ``(L) $350,000,000 for fiscal year 2026.''.
    (c) Teaching Health Centers That Operate Graduate Medical Education 
Programs.--Section 340H(g)(1) of the Public Health Service Act (42 
U.S.C. 256h(g)(1)) is amended--
            (1) in subparagraph (D), by striking ``and'' at the end;
            (2) in subparagraph (E), by striking the period at the end 
        and inserting a semicolon; and
            (3) by adding at the end the following:
                    ``(F) $112,849,315 for the period beginning on 
                April 1, 2025, and ending on September 30, 2025;
                    ``(G) $225,000,000 for fiscal year 2026;
                    ``(H) $250,000,000 for fiscal year 2027;
                    ``(I) $275,000,000 for fiscal year 2028; and
                    ``(J) $300,000,000 for fiscal year 2029.''.
    (d) Application of Provisions.--Amounts appropriated pursuant to 
the amendments made by this section shall be subject to the 
requirements contained in Public Law 117-328 for funds for programs 
authorized under sections 330 through 340 of the Public Health Service 
Act (42 U.S.C. 254b et seq.).
    (e) Conforming Amendment.--Section 3014(h)(4) of title 18, United 
States Code, is amended by striking ``and section 3101(d) of the Health 
Extensions and Other Matters Act, 2025'' and inserting ``section 
3101(d) of the Health Extensions and Other Matters Act, 2025, and 
section 401 of the Lower Costs for Everyday Americans Act''.

SEC. 402. EXTENSION OF SPECIAL DIABETES PROGRAMS.

    (a) Extension of Special Diabetes Programs for Type I Diabetes.--
Section 330B(b)(2) of the Public Health Service Act (42 U.S.C. 254c-
2(b)(2)) is amended--
            (1) in subparagraph (E), by striking ``and'' at the end;
            (2) in subparagraph (F), by striking the period at the end 
        and inserting a semicolon; and
            (3) by adding at the end the following:
                    ``(G) $110,327,296 for the period beginning on 
                April 1, 2025, and ending on September 30, 2025, to 
                remain available until expended; and
                    ``(H) $200,000,000 for fiscal year 2026, to remain 
                available until expended.''.
    (b) Extending Funding for Special Diabetes Programs for Indians.--
Section 330C(c)(2) of the Public Health Service Act (42 U.S.C. 254c-
3(c)(2)) is amended--
            (1) in subparagraph (E), by striking ``and'' at the end;
            (2) in subparagraph (F), by striking the period at the end 
        and inserting a semicolon; and
            (3) by adding at the end the following:
                    ``(G) $110,327,296 for the period beginning on 
                April 1, 2025, and ending on September 30, 2025, to 
                remain available until expended; and
                    ``(H) $200,000,000 for fiscal year 2026, to remain 
                available until expended.''.

             Subtitle B--World Trade Center Health Program

SEC. 411. 9/11 RESPONDER AND SURVIVOR HEALTH FUNDING CORRECTIONS.

    (a) In General.--Section 3351(a)(2)(A) of the Public Health Service 
Act (42 U.S.C. 300mm-61(a)(2)(A)) is amended--
            (1) in clause (x), by striking ``; and'' and inserting a 
        semicolon;
            (2) by redesignating clause (xi) as clause (xii); and
            (3) by inserting after clause (x), the following:
                            ``(xi) for each of fiscal years 2026 
                        through 2040--
                                    ``(I) the amount determined under 
                                this subparagraph for the previous 
                                fiscal year multiplied by 1.05; 
                                multiplied by
                                    ``(II) the ratio of--
                                            ``(aa) the total number of 
                                        individuals enrolled in the WTC 
                                        Program on July 1 of such 
                                        previous fiscal year; to
                                            ``(bb) the total number of 
                                        individuals so enrolled on July 
                                        1 of the fiscal year prior to 
                                        such previous fiscal year; 
                                        and''.
    (b) Report to Congress.--
            (1) In general.--Not later than 3 years after the date of 
        enactment of this Act, the Secretary of Health and Human 
        Services (referred to in this subsection as the ``Secretary'') 
        shall conduct an assessment of anticipated budget authority and 
        outlays of the World Trade Center Health Program (referred to 
        in this subsection as the ``Program'') through the duration of 
        the Program and submit a report summarizing such assessment 
        to--
                    (A) the Speaker and minority leader of the House of 
                Representatives;
                    (B) the majority and minority leaders of the 
                Senate;
                    (C) the Committee on Health, Education, Labor, and 
                Pensions and Committee on the Budget of the Senate; and
                    (D) the Committee on Energy and Commerce and the 
                Committee on the Budget of the House of 
                Representatives.
            (2) Inclusions.--The report required under paragraph (1) 
        shall include--
                    (A) a projection of Program budgetary needs on a 
                per-fiscal year basis through fiscal year 2090;
                    (B) a review of Program modeling for each of fiscal 
                years 2017 through the fiscal year prior to the fiscal 
                year in which the report is issued to assess how 
                anticipated budgetary needs compared to actual 
                expenditures;
                    (C) an assessment of the projected budget authority 
                and expenditures of the Program through fiscal year 
                2090 by comparing--
                            (i) such projected authority and 
                        expenditures resulting from application of 
                        section 3351(a)(2)(A) of the Public Health 
                        Service Act (42 U.S.C. 300mm-61(a)(2)(A)), as 
                        amended by subsection (a);
                            (ii) such projected authority and 
                        expenditures that would result if such section 
                        were amended so that the formula under clause 
                        (xi) of such section, as amended by subsection 
                        (a), were to be extended through fiscal year 
                        2090; and
                    (D) any recommendations of the Secretary to make 
                changes to the formula under such section 
                3351(a)(2)(A), as so amended, to fully offset 
                anticipated Program expenditures through fiscal year 
                2090.
    (c) Technical Amendments.--Title XXXIII of the Public Health 
Service Act (42 U.S.C. 300mm et seq.) is amended--
            (1) in section 3352(d) (42 U.S.C. 300mm-62(d)), by striking 
        ``Any amounts'' and inserting ``Any unobligated amounts'';
            (2) in section 3353(d) (42 U.S.C. 300mm-63(d)), by striking 
        ``Any amounts'' and inserting ``Any unobligated amounts''; and
            (3) in section 3354(d) (42 U.S.C. 300mm-64(d)), by striking 
        ``Any amounts'' and inserting ``Any unobligated amounts''.

                  TITLE V--SUPPORT ACT REAUTHORIZATION

SEC. 501. SHORT TITLE.

    This title may be cited as the ``SUPPORT for Patients and 
Communities Reauthorization Act of 2025''.

                         Subtitle A--Prevention

SEC. 511. PRENATAL AND POSTNATAL HEALTH.

    Section 317L(d) of the Public Health Service Act (42 U.S.C. 247b-
13(d)) is amended by striking ``such sums as may be necessary for each 
of the fiscal years 2019 through 2023'' and inserting ``$4,250,000 for 
each of fiscal years 2025 through 2029''.

SEC. 512. MONITORING AND EDUCATION REGARDING INFECTIONS ASSOCIATED WITH 
              ILLICIT DRUG USE AND OTHER RISK FACTORS.

    Section 317N(d) of the Public Health Service Act (42 U.S.C. 247b-
15(d)) is amended by striking ``fiscal years 2019 through 2023'' and 
inserting ``fiscal years 2025 through 2029''.

SEC. 513. PREVENTING OVERDOSES OF CONTROLLED SUBSTANCES.

    (a) In General.--Section 392A of the Public Health Service Act (42 
U.S.C. 280b-1) is amended--
            (1) in subsection (a)(2)--
                    (A) in subparagraph (C), by inserting ``and 
                associated risks'' before the period at the end; and
                    (B) in subparagraph (D), by striking ``opioids'' 
                and inserting ``substances causing overdose''; and
            (2) in subsection (b)(2)--
                    (A) in subparagraph (B), by inserting ``, and 
                associated risk factors,'' after ``such overdoses'';
                    (B) in subparagraph (C), by striking ``coding'' and 
                inserting ``monitoring and identifying'';
                    (C) in subparagraph (E)--
                            (i) by inserting a comma after ``public 
                        health laboratories''; and
                            (ii) by inserting ``and other emerging 
                        substances related'' after ``analogues''; and
                    (D) in subparagraph (F), by inserting ``and 
                associated risk factors'' after ``overdoses''.
    (b) Additional Grants.--Section 392A(a)(3) of the Public Health 
Service Act (42 U.S.C. 280b-1(a)(3)) is amended--
            (1) in the matter preceding subparagraph (A), by striking 
        ``and Indian Tribes--'' and inserting ``and Indian Tribes for 
        the following purposes:'';
            (2) by amending subparagraph (A) to read as follows:
                    ``(A) To carry out innovative projects for grantees 
                to detect, identify, and rapidly respond to controlled 
                substance misuse, abuse, and overdoses, and associated 
                risk factors, including changes in patterns of such 
                controlled substance use. Such projects may include the 
                use of innovative, evidence-based strategies for 
                detecting such patterns, such as wastewater 
                surveillance, if proven to support actionable 
                prevention strategies, in a manner consistent with 
                applicable Federal and State privacy laws.''; and
            (3) in subparagraph (B), by striking ``for any'' and 
        inserting ``For any''.
    (c) Authorization of Appropriations.--Section 392A(e) of the Public 
Health Service Act (42 U.S.C. 280b-1(e)) is amended by striking 
``$496,000,000 for each of fiscal years 2019 through 2023'' and 
inserting ``$505,579,000 for each of fiscal years 2025 through 2029''.

SEC. 514. SUPPORT FOR INDIVIDUALS AND FAMILIES IMPACTED BY FETAL 
              ALCOHOL SPECTRUM DISORDER.

    (a) In General.--Part O of title III of the Public Health Service 
Act (42 U.S.C. 280f et seq.) is amended to read as follows:

    ``PART O--FETAL ALCOHOL SYNDROME PREVENTION AND SERVICES PROGRAM

``SEC. 399H. FETAL ALCOHOL SPECTRUM DISORDERS PREVENTION, INTERVENTION, 
              AND SERVICES DELIVERY PROGRAM.

    ``(a) In General.--The Secretary shall establish or continue 
activities to support a comprehensive fetal alcohol spectrum disorders 
(referred to in this section as `FASD') education, prevention, 
identification, intervention, and services delivery program, which may 
include--
            ``(1) an education and public awareness program to support, 
        conduct, and evaluate the effectiveness of--
                    ``(A) educational programs targeting health 
                professions schools, social and other supportive 
                services, educators and counselors and other service 
                providers in all phases of childhood development, and 
                other relevant service providers, concerning the 
                prevention, identification, and provision of services 
                for infants, children, adolescents and adults with 
                FASD;
                    ``(B) strategies to educate school-age children, 
                including pregnant and high-risk youth, concerning 
                FASD;
                    ``(C) public and community awareness programs 
                concerning FASD; and
                    ``(D) strategies to coordinate information and 
                services across affected community agencies, including 
                agencies providing social services such as foster care, 
                adoption, and social work, agencies providing health 
                services, and agencies involved in education, 
                vocational training and civil and criminal justice;
            ``(2) supporting and conducting research on FASD, as 
        appropriate, including to--
                    ``(A) develop appropriate medical diagnostic 
                methods for identifying FASD; and
                    ``(B) develop effective culturally and 
                linguistically appropriate evidence-based or evidence-
                informed interventions and appropriate supports for 
                preventing prenatal alcohol exposure, which may co-
                occur with exposure to other substances;
            ``(3) building State and Tribal capacity for the 
        identification, treatment, and support of individuals with FASD 
        and their families, which may include--
                    ``(A) utilizing and adapting existing Federal, 
                State, or Tribal programs to include FASD 
                identification and FASD-informed support;
                    ``(B) developing and expanding screening and 
                diagnostic capacity for FASD;
                    ``(C) developing, implementing, and evaluating 
                targeted FASD-informed intervention programs for FASD;
                    ``(D) providing training with respect to FASD for 
                professionals across relevant sectors; and
                    ``(E) disseminating information about FASD and 
                support services to affected individuals and their 
                families; and
            ``(4) an applied research program concerning intervention 
        and prevention to support and conduct service demonstration 
        projects, clinical studies and other research models providing 
        advocacy, educational and vocational training, counseling, 
        medical and mental health, and other supportive services, as 
        well as models that integrate and coordinate such services, 
        that are aimed at the unique challenges facing individuals with 
        Fetal Alcohol Syndrome or Fetal Alcohol Effect and their 
        families.
    ``(b) Grants and Technical Assistance.--
            ``(1) In general.--The Secretary may award grants, 
        cooperative agreements and contracts and provide technical 
        assistance to eligible entities to carry out subsection (a).
            ``(2) Eligible entities.--To be eligible to receive a 
        grant, or enter into a cooperative agreement or contract, under 
        this section, an entity shall--
                    ``(A) be a State, Indian Tribe or Tribal 
                organization, local government, scientific or academic 
                institution, or nonprofit organization; and
                    ``(B) prepare and submit to the Secretary an 
                application at such time, in such manner, and 
                containing such information as the Secretary may 
                require, including a description of the activities that 
                the entity intends to carry out using amounts received 
                under this section.
            ``(3) Additional application contents.--The Secretary may 
        require that an eligible entity include in the application 
        submitted under paragraph (2)(B)--
                    ``(A) a designation of an individual to serve as a 
                FASD State or Tribal coordinator of activities such 
                eligible entity proposes to carry out through a grant, 
                cooperative agreement, or contract under this section; 
                and
                    ``(B) a description of an advisory committee the 
                entity will establish to provide guidance for the 
                entity on developing and implementing a statewide or 
                Tribal strategic plan to prevent FASD and provide for 
                the identification, treatment, and support of 
                individuals with FASD and their families.
    ``(c) Definition of FASD-Informed.--For purposes of this section, 
the term `FASD-informed', with respect to support or an intervention 
program, means that such support or intervention program uses 
culturally and linguistically informed evidence-based or practice-based 
interventions and appropriate resources to support an improved quality 
of life for an individual with FASD and the family of such individual.

``SEC. 399I. STRENGTHENING CAPACITY AND EDUCATION FOR FETAL ALCOHOL 
              SPECTRUM DISORDERS.

    ``(a) In General.--The Secretary shall award grants, contracts, or 
cooperative agreements, as the Secretary determines appropriate, to 
public or nonprofit private entities with demonstrated expertise in the 
field of fetal alcohol spectrum disorders (referred to in this section 
as `FASD'). Such awards shall be for the purposes of building local, 
Tribal, State, and nationwide capacities to prevent the occurrence of 
FASD by carrying out the programs described in subsection (b).
    ``(b) Programs.--An entity receiving an award under subsection (a) 
may use such award for the following purposes:
            ``(1) Developing and supporting public education and 
        outreach activities to raise public awareness of the risks 
        associated with alcohol consumption during pregnancy.
            ``(2) Acting as a clearinghouse for evidence-based 
        resources on FASD prevention, identification, and culturally 
        and linguistically appropriate best practices to help inform 
        systems of care for individuals with FASD across their 
        lifespan.
            ``(3) Increasing awareness and understanding of 
        efficacious, evidence-based screening tools and culturally and 
        linguistically appropriate evidence-based intervention services 
        and best practices, which may include improving the capacity 
        for State, Tribal, and local affiliates.
            ``(4) Providing technical assistance to recipients of 
        grants, cooperative agreements, or contracts under section 
        399H, as appropriate.
    ``(c) Application.--To be eligible for a grant, contract, or 
cooperative agreement under this section, an entity shall submit to the 
Secretary an application at such time, in such manner, and containing 
such information as the Secretary may require.
    ``(d) Subcontracting.--A public or private nonprofit entity may 
carry out the following activities required under this section through 
contracts or cooperative agreements with other public and private 
nonprofit entities with demonstrated expertise in FASD:
            ``(1) Resource development and dissemination.
            ``(2) Intervention services.
            ``(3) Training and technical assistance.

``SEC. 399J. AUTHORIZATION OF APPROPRIATIONS.

    ``There are authorized to be appropriated to carry out this part 
$12,500,000 for each of fiscal years 2025 through 2029.''.
    (b) Report.--Not later than 4 years after the date of enactment of 
this Act, and every year thereafter, the Secretary of Health and Human 
Services shall prepare and submit to the Committee on Health, 
Education, Labor, and Pensions of the Senate and the Committee on 
Energy and Commerce of the House of Representatives a report 
containing--
            (1) a review of the activities carried out pursuant to 
        sections 399H and 399I of the Public Health Service Act, as 
        amended, to advance public education and awareness of fetal 
        alcohol spectrum disorders (referred to in this section as 
        ``FASD'');
            (2) a description of--
                    (A) the activities carried out pursuant to such 
                sections 399H and 399I to identify, prevent, and treat 
                FASD; and
                    (B) methods used to evaluate the outcomes of such 
                activities; and
            (3) an assessment of activities carried out pursuant to 
        such sections 399H and 399I to support individuals with FASD.

SEC. 515. PROMOTING STATE CHOICE IN PDMP SYSTEMS.

    Section 399O(h) of the Public Health Service Act (42 U.S.C. 280g-
3(h)) is amended by adding at the end the following:
            ``(5) Promoting state choice.--Nothing in this section 
        shall be construed to authorize the Secretary to require States 
        to use a specific vendor or a specific interoperability 
        connection other than to align with nationally recognized, 
        consensus-based open standards, such as in accordance with 
        sections 3001 and 3004.''.

SEC. 516. FIRST RESPONDER TRAINING PROGRAM.

    Section 546 of the Public Health Service Act (42 U.S.C. 290ee-1) is 
amended--
            (1) in subsection (a), by striking ``tribes and tribal'' 
        and inserting ``Tribes and Tribal'';
            (2) in subsections (a), (c), and (d)--
                    (A) by striking ``approved or cleared'' each place 
                it appears and inserting ``approved, cleared, or 
                otherwise legally marketed''; and
                    (B) by striking ``opioid'' each place it appears;
            (3) in subsection (f)--
                    (A) by striking ``approved or cleared'' each place 
                it appears and inserting ``approved, cleared, or 
                otherwise legally marketed'';
                    (B) in paragraph (1), by striking ``opioid'';
                    (C) in paragraph (2)--
                            (i) by striking ``opioid and heroin'' and 
                        inserting ``opioid, heroin, and other drug''; 
                        and
                            (ii) by striking ``opioid overdose'' and 
                        inserting ``overdose''; and
                    (D) in paragraph (3), by striking ``opioid and 
                heroin''; and
            (4) in subsection (h), by striking ``$36,000,000 for each 
        of fiscal years 2019 through 2023'' and inserting ``$56,000,000 
        for each of fiscal years 2025 through 2029''.

SEC. 517. DONALD J. COHEN NATIONAL CHILD TRAUMATIC STRESS INITIATIVE.

    (a) Technical Amendment.--The second part G of title V of the 
Public Health Service Act (42 U.S.C. 290kk et seq.), as added by 
section 144 of the Community Renewal Tax Relief Act (Public Law 106-
554), is amended--
            (1) by redesignating such part as part J; and
            (2) by redesignating sections 581 through 584 as sections 
        596 through 596C, respectively.
    (b) In General.--Section 582 of the Public Health Service Act (42 
U.S.C. 290hh-1) is amended--
            (1) in the section heading, by striking ``violence related 
        stress'' and inserting ``traumatic events'';
            (2) in subsection (a)--
                    (A) in the matter preceding paragraph (1), by 
                striking ``tribes and tribal'' and inserting ``Tribes 
                and Tribal''; and
                    (B) in paragraph (2), by inserting ``and 
                dissemination'' after ``the development'';
            (3) in subsection (b), by inserting ``and dissemination'' 
        after ``the development'';
            (4) in subsection (d)--
                    (A) by striking ``The NCTSI'' and inserting the 
                following:
            ``(1) Coordinating center.--The NCTSI''; and
                    (B) by adding at the end the following:
            ``(2) NCTSI grantees.--In carrying out subsection (a)(2), 
        NCTSI grantees shall develop trainings and other resources, as 
        applicable and appropriate, to support implementation of the 
        evidence-based practices developed and disseminated under such 
        subsection.'';
            (5) in subsection (e)--
                    (A) by redesignating paragraphs (1) and (2) as 
                subparagraphs (A) and (B), respectively, and adjusting 
                the margins accordingly;
                    (B) in subparagraph (A), as so redesignated, by 
                inserting ``and implementation'' after ``the 
                dissemination'';
                    (C) by striking ``The NCTSI'' and inserting the 
                following:
            ``(1) Coordinating center.--The NCTSI''; and
                    (D) by adding at the end the following:
            ``(2) NCTSI grantees.--NCTSI grantees shall, as 
        appropriate, collaborate with other such grantees, the NCTSI 
        coordinating center, and the Secretary in carrying out 
        subsections (a)(2) and (d)(2).'';
            (6) by amending subsection (h) to read as follows:
    ``(h) Application and Evaluation.--To be eligible to receive a 
grant, contract, or cooperative agreement under subsection (a), a 
public or nonprofit private entity or an Indian Tribe or Tribal 
organization shall submit to the Secretary an application at such time, 
in such manner, and containing such information and assurances as the 
Secretary may require, including--
            ``(1) a plan for the evaluation of the activities funded 
        under the grant, contract, or agreement, including both process 
        and outcomes evaluation, and the submission of an evaluation at 
        the end of the project period; and
            ``(2) a description of how such entity, Indian Tribe, or 
        Tribal organization will support efforts led by the Secretary 
        or the NCTSI coordinating center, as applicable, to evaluate 
        activities carried out under this section.''; and
            (7) by amending subsection (j) to read as follows:
    ``(j) Authorization of Appropriations.--There is authorized to be 
appropriated to carry out this section--
            ``(1) $93,887,000 for fiscal year 2025;
            ``(2) $95,000,000 for fiscal year 2026;
            ``(3) $97,000,000 for fiscal year 2027;
            ``(4) $100,000,000 for fiscal year 2028; and
            ``(5) $100,000,000 for fiscal year 2029.''.

SEC. 518. PROTECTING SUICIDE PREVENTION LIFELINE FROM CYBERSECURITY 
              INCIDENTS.

    (a) National Suicide Prevention Lifeline Program.--Section 520E-
3(b) of the Public Health Service Act (42 U.S.C. 290bb-36c(b)) is 
amended--
            (1) in paragraph (4), by striking ``and'' at the end;
            (2) in paragraph (5), by striking the period at the end and 
        inserting ``; and''; and
            (3) by adding at the end the following:
            ``(6) taking such steps as may be necessary to ensure the 
        suicide prevention hotline is protected from cybersecurity 
        incidents and eliminates known cybersecurity 
        vulnerabilities.''.
    (b) Reporting.--Section 520E-3 of the Public Health Service Act (42 
U.S.C. 290bb-36c) is amended--
            (1) by redesignating subsection (f) as subsection (g); and
            (2) by inserting after subsection (e) the following:
    ``(f) Cybersecurity Reporting.--
            ``(1) Notification.--
                    ``(A) In general.--The program's network 
                administrator receiving Federal funding pursuant to 
                subsection (a) shall report to the Assistant Secretary, 
                in a manner that protects personal privacy, consistent 
                with applicable Federal and State privacy laws--
                            ``(i) any identified cybersecurity 
                        vulnerabilities to the program within a 
                        reasonable amount of time after identification 
                        of such a vulnerability; and
                            ``(ii) any identified cybersecurity 
                        incidents to the program within a reasonable 
                        amount of time after identification of such 
                        incident.
                    ``(B) Local and regional crisis centers.--Local and 
                regional crisis centers participating in the program 
                shall report to the program's network administrator 
                identified under subparagraph (A), in a manner that 
                protects personal privacy, consistent with applicable 
                Federal and State privacy laws--
                            ``(i) any identified cybersecurity 
                        vulnerabilities to the program within a 
                        reasonable amount of time after identification 
                        of such vulnerability; and
                            ``(ii) any identified cybersecurity 
                        incidents to the program within a reasonable 
                        amount of time after identification of such 
                        incident.
            ``(2) Notification.--If the program's network administrator 
        receiving funding pursuant to subsection (a) discovers, or is 
        informed by a local or regional crisis center pursuant to 
        paragraph (1)(B) of, a cybersecurity vulnerability or incident, 
        within a reasonable amount of time after such discovery or 
        receipt of information, such entity shall report the 
        vulnerability or incident to the Assistant Secretary.
            ``(3) Clarification.--
                    ``(A) Oversight.--
                            ``(i) Local and regional crisis centers.--
                        Except as provided in clause (ii), local and 
                        regional crisis centers participating in the 
                        program shall oversee all technology each 
                        center employs in the provision of services as 
                        a participant in the program.
                            ``(ii) Network administrator.--The 
                        program's network administrator receiving 
                        Federal funding pursuant to subsection (a) 
                        shall oversee the technology each crisis center 
                        employs in the provision of services as a 
                        participant in the program if such oversight 
                        responsibilities are established in the 
                        applicable network participation agreement.
                    ``(B) Supplement, not supplant.--The cybersecurity 
                incident reporting requirements under this subsection 
                shall supplement, and not supplant, cybersecurity 
                incident reporting requirements under other provisions 
                of applicable Federal law that are in effect on the 
                date of the enactment of the SUPPORT for Patients and 
                Communities Reauthorization Act of 2025.''.
    (c) Study.--Not later than 180 days after the date of the enactment 
of this Act, the Comptroller General of the United States shall--
            (1) conduct and complete a study that evaluates 
        cybersecurity risks and vulnerabilities associated with the 9-
        8-8 National Suicide Prevention Lifeline; and
            (2) submit a report on the findings of such study to the 
        Committee on Health, Education, Labor, and Pensions of the 
        Senate and the Committee on Energy and Commerce of the House of 
        Representatives.

SEC. 519. BRUCE'S LAW.

    (a) Youth Prevention and Recovery.--Section 7102(c) of the SUPPORT 
for Patients and Communities Act (42 U.S.C. 290bb-7a(c)) is amended--
            (1) in paragraph (3)(A)(i), by inserting ``, which may 
        include strategies to increase education and awareness of the 
        potency and dangers of synthetic opioids (including drugs 
        contaminated with fentanyl) and, as appropriate, other emerging 
        drug use or misuse issues'' before the semicolon; and
            (2) in paragraph (4)(A), by inserting ``and strategies to 
        increase education and awareness of the potency and dangers of 
        synthetic opioids (including drugs contaminated with fentanyl) 
        and, as appropriate, emerging drug use or misuse issues'' 
        before the semicolon.
    (b) Interdepartmental Substance Use Disorders Coordinating 
Committee.--Section 7022 of the SUPPORT for Patients and Communities 
Act (42 U.S.C. 290aa note) is amended--
            (1) by striking subsection (g) and inserting the following:
    ``(g) Working Groups.--
            ``(1) In general.--The Committee may establish working 
        groups for purposes of carrying out the duties described in 
        subsection (e). Any such working group shall be composed of 
        members of the Committee (or the designees of such members) and 
        may hold such meetings as are necessary to carry out the duties 
        delegated to the working group.
            ``(2) Additional federal interagency work group on fentanyl 
        contamination of illegal drugs.--
                    ``(A) Establishment.--The Secretary, acting through 
                the Committee, shall establish a Federal Interagency 
                Work Group on Fentanyl Contamination of Illegal Drugs 
                (referred to in this paragraph as the `Work Group') 
                consisting of representatives from relevant Federal 
                departments and agencies on the Committee.
                    ``(B) Consultation.--The Work Group shall consult 
                with relevant stakeholders and subject matter experts, 
                including--
                            ``(i) State, Tribal, and local subject 
                        matter experts in reducing, preventing, and 
                        responding to drug overdose caused by fentanyl 
                        contamination of illicit drugs; and
                            ``(ii) family members of both adults and 
                        youth who have overdosed by fentanyl-
                        contaminated illicit drugs.
                    ``(C) Duties.--The Work Group shall--
                            ``(i) examine Federal efforts to reduce and 
                        prevent drug overdose by fentanyl-contaminated 
                        illicit drugs;
                            ``(ii) identify strategies to improve 
                        State, Tribal, and local responses to overdose 
                        by fentanyl-contaminated illicit drugs;
                            ``(iii) coordinate with the Secretary, as 
                        appropriate, in carrying out activities to 
                        raise public awareness of synthetic opioids and 
                        other emerging drug use and misuse issues;
                            ``(iv) make recommendations to Congress for 
                        improving Federal programs, including with 
                        respect to the coordination of efforts across 
                        such programs; and
                            ``(v) make recommendations for educating 
                        youth on the potency and dangers of drugs 
                        contaminated by fentanyl.
                    ``(D) Annual report to secretary.--The Work Group 
                shall annually prepare and submit to the Secretary, the 
                Committee on Health, Education, Labor, and Pensions of 
                the Senate, and the Committee on Energy and Commerce 
                and the Committee on Education and the Workforce of the 
                House of Representatives, a report on the activities 
                carried out by the Work Group under subparagraph (C), 
                including recommendations to reduce and prevent drug 
                overdose by fentanyl contamination of illegal drugs, in 
                all populations, and specifically among youth at risk 
                for substance misuse.''; and
            (2) by striking subsection (i) and inserting the following:
                            ``(i) Sunset.--The Committee shall 
                        terminate on September 30, 2029.''.

SEC. 520. GUIDANCE ON AT-HOME DRUG DISPOSAL SYSTEMS.

    (a) In General.--Not later than one year after the date of 
enactment of this Act, the Secretary of Health and Human Services, in 
consultation with the Administrator of the Drug Enforcement 
Administration, shall publish guidance to facilitate the use of at-home 
safe disposal systems for applicable drugs.
    (b) Contents.--The guidance under subsection (a) shall include--
            (1) recommended standards for effective at-home drug 
        disposal systems to meet applicable requirements enforced by 
        the Food and Drug Administration;
            (2) recommended information to include as instructions for 
        use to disseminate with at-home drug disposal systems;
            (3) best practices and educational tools to support the use 
        of an at-home drug disposal system, as appropriate; and
            (4) recommended use of licensed health providers for the 
        dissemination of education, instruction, and at-home drug 
        disposal systems, as appropriate.

SEC. 521. ASSESSMENT OF OPIOID DRUGS AND ACTIONS.

    (a) In General.--Not later than one year after the date of 
enactment of this Act, the Secretary of Health and Human Services 
(referred to in this section as the ``Secretary'') shall publish on the 
website of the Food and Drug Administration (referred to in this 
section as the ``FDA'') a report that outlines a plan for assessing 
opioid analgesic drugs that are approved under section 505 of the 
Federal Food, Drug, and Cosmetic Act (21 U.S.C. 355) that addresses the 
public health effects of such opioid analgesic drugs as part of the 
benefit-risk assessment and the activities of the FDA that relate to 
facilitating the development of nonaddictive medical products intended 
to treat pain or addiction. Such report shall include--
            (1) an update on the actions taken by the FDA to consider 
        the effectiveness, safety, benefit-risk profile, and use of 
        approved opioid analgesic drugs;
            (2) a timeline for an assessment of the potential need, as 
        appropriate, for labeling changes, revised or additional 
        postmarketing requirements, enforcement actions, or withdrawals 
        for opioid analgesic drugs;
            (3) an overview of the steps that the FDA has taken to 
        support the development and approval of nonaddictive medical 
        products intended to treat pain or addiction, and actions 
        planned to further support the development and approval of such 
        products; and
            (4) an overview of the consideration by the FDA of clinical 
        trial methodologies for analgesic drugs, including the enriched 
        enrollment randomized withdrawal methodology, and the benefits 
        and drawbacks associated with different trial methodologies for 
        such drugs, incorporating any public input received under 
        subsection (b).
    (b) Public Input.--In carrying out subsection (a), the Secretary 
shall provide an opportunity for public input concerning the regulation 
by the FDA of opioid analgesic drugs, including scientific evidence 
that relates to conditions of use, safety, or benefit-risk assessment 
(including consideration of the public health effects) of such opioid 
analgesic drugs.

SEC. 522. GRANT PROGRAM FOR STATE AND TRIBAL RESPONSE TO OPIOID USE 
              DISORDERS.

    The activities carried out pursuant to section 1003(b)(4)(A) of the 
21st Century Cures Act (42 U.S.C. 290ee-3a(b)(4)(A)) may include 
facilitating access to products used to prevent overdose deaths by 
detecting the presence of one or more substances, such as fentanyl and 
xylazine test strips, to the extent the purchase and possession of such 
products is consistent with Federal and State law.

                         Subtitle B--Treatment

SEC. 531. RESIDENTIAL TREATMENT PROGRAM FOR PREGNANT AND POSTPARTUM 
              WOMEN.

    Section 508 of the Public Health Service Act (42 U.S.C. 290bb-1) is 
amended--
            (1) in subsection (d)(11)(C), by striking ``providing 
        health services'' and inserting ``providing health care 
        services'';
            (2) in subsection (g)--
                    (A) by inserting ``a plan describing'' after ``will 
                provide''; and
                    (B) by adding at the end the following: ``Such plan 
                may include a description of how such applicant will 
                target outreach to women disproportionately impacted by 
                maternal substance use disorder.''; and
            (3) in subsection (s), by striking ``$29,931,000 for each 
        of fiscal years 2019 through 2023'' and inserting ``$38,931,000 
        for each of fiscal years 2025 through 2029''.

SEC. 532. IMPROVING ACCESS TO ADDICTION MEDICINE PROVIDERS.

    Section 597 of the Public Health Service Act (42 U.S.C. 290ll) is 
amended--
            (1) in subsection (a)(1), by inserting ``diagnosis,'' after 
        ``related to''; and
            (2) in subsection (b), by inserting ``addiction medicine,'' 
        after ``psychiatry,''.

SEC. 533. MENTAL AND BEHAVIORAL HEALTH EDUCATION AND TRAINING GRANTS.

    Section 756(f) of the Public Health Service Act (42 U.S.C. 294e-
1(f)) is amended by striking ``fiscal years 2023 through 2027'' and 
inserting ``fiscal years 2025 through 2029''.

SEC. 534. LOAN REPAYMENT PROGRAM FOR SUBSTANCE USE DISORDER TREATMENT 
              WORKFORCE.

    Section 781(j) of the Public Health Service Act (42 U.S.C. 295h(j)) 
is amended by striking ``$25,000,000 for each of fiscal years 2019 
through 2023'' and inserting ``$40,000,000 for each of fiscal years 
2025 through 2029''.

SEC. 535. DEVELOPMENT AND DISSEMINATION OF MODEL TRAINING PROGRAMS FOR 
              SUBSTANCE USE DISORDER PATIENT RECORDS.

    Section 7053 of the SUPPORT for Patients and Communities Act (42 
U.S.C. 290dd-2 note) is amended by striking subsection (e).

SEC. 536. TASK FORCE ON BEST PRACTICES FOR TRAUMA-INFORMED 
              IDENTIFICATION, REFERRAL, AND SUPPORT.

    Section 7132 of the SUPPORT for Patients and Communities Act 
(Public Law 115-271; 132 Stat. 4046) is amended--
            (1) in subsection (b)(1)--
                    (A) by redesignating subparagraph (CC) as 
                subparagraph (DD); and
                    (B) by inserting after subparagraph (BB) the 
                following:
                    ``(CC) The Administration for Community Living.'';
            (2) in subsection (d)(1), in the matter preceding 
        subparagraph (A), by inserting ``, developmental disability 
        service providers'' before ``, individuals who are''; and
            (3) in subsection (i), by striking ``2023'' and inserting 
        ``2029''.

SEC. 537. GRANTS TO ENHANCE ACCESS TO SUBSTANCE USE DISORDER TREATMENT.

    Section 3203 of the SUPPORT for Patients and Communities Act (21 
U.S.C. 823 note) is amended--
            (1) by striking subsection (b); and
            (2) by striking ``(a) In General.--The Secretary'' and 
        inserting the following: ``The Secretary''.

SEC. 538. STATE GUIDANCE RELATED TO INDIVIDUALS WITH SERIOUS MENTAL 
              ILLNESS AND CHILDREN WITH SERIOUS EMOTIONAL DISTURBANCE.

    (a) Review of Use of Certain Funding.--Not later than 1 year after 
the date of enactment of this Act, the Secretary of Health and Human 
Services (referred to in this section as the ``Secretary''), acting 
through the Assistant Secretary for Mental Health and Substance Use, 
shall conduct a review of State use of funds made available under the 
Community Mental Health Services Block Grant program under subpart I of 
part B of title XIX of the Public Health Service Act (42 U.S.C. 300x et 
seq.) (referred to in this section as the ``block grant program'') for 
first episode psychosis activities. Such review shall consider the 
following:
            (1) How States use funds for evidence-based treatments and 
        services according to the standard of care for individuals with 
        early serious mental illness and children with a serious 
        emotional disturbance.
            (2) The percentages of the State funding under the block 
        grant program expended on early serious mental illness and 
        first episode psychosis, and the number of individuals served 
        under such funds.
    (b) Report and Guidance.--
            (1) Report.--Not later than 180 days after the completion 
        of the review under subsection (a), the Secretary shall submit 
        to the Committee on Health, Education, Labor, and Pensions and 
        the Committee on Appropriations of the Senate and the Committee 
        on Energy and Commerce and the Committee on Appropriations of 
        the House of Representatives a report describing--
                    (A) the findings of the review under subsection 
                (a); and
                    (B) any recommendations for changes to the block 
                grant program that would facilitate improved outcomes 
                for individuals with serious mental illness and 
                children with serious emotional disturbance.
            (2) Guidance.--Not later than 1 year after the date on 
        which the report is submitted under paragraph (1), the 
        Secretary shall update the guidance provided to States under 
        the block grant program on coordinated specialty care and other 
        evidence-based mental health care services for individuals with 
        serious mental illness and children with a serious emotional 
        disturbance, based on the findings and recommendations of such 
        report.

SEC. 539. REVIEWING THE SCHEDULING OF APPROVED PRODUCTS CONTAINING A 
              COMBINATION OF BUPRENORPHINE AND NALOXONE.

    (a) Secretary of Hhs.--The Secretary of Health and Human Services 
shall, consistent with the requirements and procedures set forth in 
sections 201 and 202 of the Controlled Substances Act (21 U.S.C. 811, 
812)--
            (1) review the relevant data pertaining to the scheduling 
        of products containing a combination of buprenorphine and 
        naloxone that have been approved under section 505 of the 
        Federal Food, Drug, and Cosmetic Act (21 U.S.C. 355); and
            (2) if appropriate, request that the Attorney General 
        initiate rulemaking proceedings to revise the schedules 
        accordingly with respect to such products.
    (b) Attorney General.--The Attorney General shall review any 
request made by the Secretary of Health and Human Services under 
subsection (a)(2) and determine whether to initiate proceedings to 
revise the schedules in accordance with the criteria set forth in 
sections 201 and 202 of the Controlled Substances Act (21 U.S.C. 811, 
812).

                          Subtitle C--Recovery

SEC. 541. BUILDING COMMUNITIES OF RECOVERY.

    Section 547(f) of the Public Health Service Act (42 U.S.C. 290ee-
2(f)) is amended by striking ``$5,000,000 for each of fiscal years 2019 
through 2023'' and inserting ``$16,000,000 for each of fiscal years 
2025 through 2029''.

SEC. 542. PEER SUPPORT TECHNICAL ASSISTANCE CENTER.

    Section 547A of the Public Health Service Act (42 U.S.C. 290ee-2a) 
is amended--
            (1) in subsection (b)(4), by striking ``building; and'' and 
        inserting the following: ``building, such as--
                    ``(A) professional development of peer support 
                specialists; and
                    ``(B) making recovery support services available in 
                nonclinical settings; and'';
            (2) by redesignating subsections (d) and (e) as subsections 
        (e) and (f), respectively;
            (3) by inserting after subsection (c) the following:
    ``(d) Regional Centers.--
            ``(1) In general.--The Secretary may establish one regional 
        technical assistance center (referred to in this subsection as 
        the `Regional Center'), with existing resources, to assist the 
        Center in carrying out activities described in subsection (b) 
        within the geographic region of such Regional Center in a 
        manner that is tailored to the needs of such region.
            ``(2) Evaluation.--Not later than 4 years after the date of 
        enactment of the SUPPORT for Patients and Communities 
        Reauthorization Act of 2024, the Secretary shall evaluate the 
        activities of the Regional Center and submit to the Committee 
        on Health, Education, Labor, and Pensions of the Senate and the 
        Committee on Energy and Commerce of the House of 
        Representatives a report on the findings of such evaluation, 
        including--
                    ``(A) a description of the distinct roles and 
                responsibilities of the Regional Center and the Center;
                    ``(B) available information relating to the 
                outcomes of the Regional Center under this subsection, 
                such as any impact on the operations and efficiency of 
                the Center relating to requests for technical 
                assistance and support within the region of such 
                Regional Center;
                    ``(C) a description of any gaps or areas of 
                duplication relating to the activities of the Regional 
                Center and the Center within such region; and
                    ``(D) recommendations relating to the modification, 
                expansion, or termination of the Regional Center under 
                this subsection.
            ``(3) Termination.--This subsection shall terminate on 
        September 30, 2029.''; and
            (4) in subsection (f), as so redesignated, by striking 
        ``$1,000,000 for each of fiscal years 2019 through 2023'' and 
        inserting ``$2,000,000 for each of fiscal years 2025 through 
        2029''.

SEC. 543. COMPREHENSIVE OPIOID RECOVERY CENTERS.

    Section 552 of the Public Health Service Act (42 U.S.C. 290ee-7) is 
amended--
            (1) in subsection (d)(2)--
                    (A) in the matter preceding subparagraph (A), by 
                striking ``and in such manner'' and inserting ``, in 
                such manner, and containing such information and 
                assurances, including relevant documentation,''; and
                    (B) in subparagraph (A), by striking ``is capable 
                of coordinating with other entities to carry out'' and 
                inserting ``has the demonstrated capability to carry 
                out, through referral or contractual arrangements'';
            (2) in subsection (h)--
                    (A) by redesignating paragraphs (1) through (4) as 
                subparagraphs (A) through (D), respectively, and 
                adjusting the margins accordingly;
                    (B) by striking ``With respect to'' and inserting 
                the following:
            ``(1) In general.--With respect to''; and
                    (C) by adding at the end the following:
            ``(2) Additional reporting for certain eligible entities.--
        An entity carrying out activities described in subsection (g) 
        through referral or contractual arrangements shall include in 
        the submissions required under paragraph (1) information 
        related to the status of such referrals or contractual 
        arrangements, including an assessment of whether such referrals 
        or contractual arrangements are supporting the ability of such 
        entity to carry out such activities.''; and
            (3) in subsection (j), by striking ``2019 through 2023'' 
        and inserting ``2025 through 2029''.

SEC. 544. YOUTH PREVENTION AND RECOVERY.

    Section 7102(c) of the SUPPORT for Patients and Communities Act (42 
U.S.C. 290bb-7a(c)) (as amended by section 110(a)) is amended--
            (1) in paragraph (2)--
                    (A) in subparagraph (A)--
                            (i) in clause (i)--
                                    (I) by inserting ``, or a 
                                consortium of local educational 
                                agencies,'' after ``a local educational 
                                agency''; and
                                    (II) by striking ``high schools'' 
                                and inserting ``secondary schools''; 
                                and
                            (ii) in clause (vi), by striking ``tribe, 
                        or tribal'' and inserting ``Tribe, or Tribal'';
                    (B) by amending subparagraph (E) to read as 
                follows:
                    ``(E) Indian tribe; tribal organization.--The terms 
                `Indian Tribe' and `Tribal organization' have the 
                meanings given such terms in section 4 of the Indian 
                Self-Determination and Education Assistance Act (25 
                U.S.C. 5304).'';
                    (C) by redesignating subparagraph (K) as 
                subparagraph (L); and
                    (D) by inserting after subparagraph (J) the 
                following:
                    ``(K) Secondary school.--The term `secondary 
                school' has the meaning given such term in section 8101 
                of the Elementary and Secondary Education Act of 1965 
                (20 U.S.C. 7801).'';
            (2) in paragraph (3)(A), in the matter preceding clause 
        (i)--
                    (A) by striking ``and abuse''; and
                    (B) by inserting ``at increased risk for substance 
                misuse'' after ``specific populations'';
            (3) in paragraph (4)--
                    (A) in the matter preceding subparagraph (A), by 
                striking ``Indian tribes'' and inserting ``Indian 
                Tribes'';
                    (B) in subparagraph (A), by striking ``and abuse''; 
                and
                    (C) in subparagraph (B), by striking ``peer 
                mentoring'' and inserting ``peer-to-peer support'';
            (4) in paragraph (5), by striking ``tribal'' and inserting 
        ``Tribal'';
            (5) in paragraph (6)(A)--
                    (A) in clause (iv), by striking ``; and'' and 
                inserting a semicolon; and
                    (B) by adding at the end the following:
                            ``(vi) a plan to sustain the activities 
                        carried out under the grant program, after the 
                        grant program has ended; and'';
            (6) in paragraph (8), by striking ``2022'' and inserting 
        ``2027''; and
            (7) by amending paragraph (9) to read as follows:
            ``(9) Authorization of appropriations.--To carry out this 
        subsection, there are authorized to be appropriated--
                    ``(A) $10,000,000 for fiscal year 2025;
                    ``(B) $12,000,000 for fiscal year 2026;
                    ``(C) $13,000,000 for fiscal year 2027;
                    ``(D) $14,000,000 for fiscal year 2028; and
                    ``(E) $15,000,000 for fiscal year 2029.''.

SEC. 545. CAREER ACT.

    (a) In General.--Section 7183 of the SUPPORT for Patients and 
Communities Act (42 U.S.C. 290ee-8) is amended--
            (1) in the section heading, by inserting ``; treatment, 
        recovery, and workforce support grants'' after ``career act'';
            (2) in subsection (b), by inserting ``each'' before ``for a 
        period'';
            (3) in subsection (c)--
                    (A) in paragraph (1), by striking ``the rates 
                described in paragraph (2)'' and inserting ``the 
                average rates for calendar years 2018 through 2022 
                described in paragraph (2)''; and
                    (B) by amending paragraph (2) to read as follows:
            ``(2) Rates.--The rates described in this paragraph are the 
        following:
                    ``(A) The highest age-adjusted average rates of 
                drug overdose deaths for calendar years 2018 through 
                2022 based on data from the Centers for Disease Control 
                and Prevention, including, if necessary, provisional 
                data for calendar year 2022.
                    ``(B) The highest average rates of unemployment for 
                calendar years 2018 through 2022 based on data provided 
                by the Bureau of Labor Statistics.
                    ``(C) The lowest average labor force participation 
                rates for calendar years 2018 through 2022 based on 
                data provided by the Bureau of Labor Statistics.'';
            (4) in subsection (g)--
                    (A) in each of paragraphs (1) and (3), by 
                redesignating subparagraphs (A) and (B) as clauses (i) 
                and (ii), respectively, and adjusting the margins 
                accordingly;
                    (B) by redesignating paragraphs (1) through (3) as 
                subparagraphs (A) through (C), respectively, and 
                adjusting the margins accordingly;
                    (C) in the matter preceding subparagraph (A) (as so 
                redesignated), by striking ``An entity'' and inserting 
                the following:
            ``(1) In general.--An entity''; and
                    (D) by adding at the end the following:
            ``(2) Transportation services.--An entity receiving a grant 
        under this section may use not more than 5 percent of the funds 
        for providing transportation for individuals to participate in 
        an activity supported by a grant under this section, which 
        transportation shall be to or from a place of work or a place 
        where the individual is receiving vocational education or job 
        training services or receiving services directly linked to 
        treatment of or recovery from a substance use disorder.
            ``(3) Limitation.--The Secretary may not require an entity 
        to, or give priority to an entity that plans to, use the funds 
        of a grant under this section for activities that are not 
        specified in this subsection.'';
            (5) in subsection (i)(2), by inserting ``, which shall 
        include employment and earnings outcomes described in 
        subclauses (I) and (III) of section 116(b)(2)(A)(i) of the 
        Workforce Innovation and Opportunity Act (29 U.S.C. 
        3141(b)(2)(A)(i)) with respect to the participation of such 
        individuals with a substance use disorder in programs and 
        activities funded by the grant under this section'' after 
        ``subsection (g)'';
            (6) in subsection (j)--
                    (A) in paragraph (1), by inserting ``for grants 
                awarded prior to the date of enactment of the SUPPORT 
                for Patients and Communities Reauthorization Act of 
                2025'' after ``grant period under this section''; and
                    (B) in paragraph (2)--
                            (i) in the matter preceding subparagraph 
                        (A), by striking ``2 years after submitting the 
                        preliminary report required under paragraph 
                        (1)'' and inserting ``September 30, 2029''; and
                            (ii) in subparagraph (A), by striking 
                        ``(g)(3)'' and inserting ``(g)(1)(C)''; and
            (7) in subsection (k), by striking ``$5,000,000 for each of 
        fiscal years 2019 through 2023'' and inserting ``$12,000,000 
        for each of fiscal years 2025 through 2029''.
    (b) Reauthorization of the CAREER Act; Recovery Housing Pilot 
Program.--
            (1) In general.--Section 8071 of the SUPPORT for Patients 
        and Communities Act (42 U.S.C. 5301 note; Public Law 115-271) 
        is amended--
                    (A) by striking the section heading and inserting 
                ``career act; recovery housing pilot program'';
                    (B) in subsection (a), by striking ``through 2023'' 
                and inserting ``through 2029'';
                    (C) in subsection (b)--
                            (i) in paragraph (1), by striking ``not 
                        later than 60 days after the date of enactment 
                        of this Act'' and inserting ``not later than 60 
                        days after the date of enactment of SUPPORT for 
                        Patients and Communities Reauthorization Act of 
                        2025''; and
                            (ii) in paragraph (2)(B)(i)--
                                    (I) in subclause (I)--
                                            (aa) by striking ``for 
                                        calendar years 2013 through 
                                        2017''; and
                                            (bb) by inserting ``for 
                                        calendar years 2018 through 
                                        2022'' after ``rates of 
                                        unemployment'';
                                    (II) in subclause (II)--
                                            (aa) by striking ``for 
                                        calendar years 2013 through 
                                        2017''; and
                                            (bb) by inserting ``for 
                                        calendar years 2018 through 
                                        2022'' after ``participation 
                                        rates''; and
                                    (III) by striking subclause (III) 
                                and inserting the following:
                                    ``(III) The highest age-adjusted 
                                average rates of drug overdose deaths 
                                for calendar years 2018 through 2022 
                                based on data from the Centers for 
                                Disease Control and Prevention, 
                                including, if necessary, provisional 
                                data for calendar year 2022.''; and
                    (D) in subsection (f), by striking ``For the 2-year 
                period following the date of enactment of this Act, 
                the'' and inserting ``The''.
            (2) Conforming amendment.--Subtitle F of title VIII of the 
        SUPPORT for Patients and Communities Act (Public Law 115-271; 
        132 Stat. 4095) is amended by striking the subtitle heading and 
        inserting the following: ``Subtitle F--CAREER Act; Recovery 
        Housing Pilot Program'' .
    (c) Clerical Amendments.--The table of contents in section 1(b) of 
the SUPPORT for Patients and Communities Act (Public Law 115-271; 132 
Stat. 3894) is amended--
            (1) by striking the item relating to section 7183 and 
        inserting the following:

``Sec. 7183. CAREER Act; treatment, recovery, and workforce support 
                            grants.'';
            (2) by striking the item relating to subtitle F of title 
        VIII and inserting the following:

    ``Subtitle F--CAREER Act; Recovery Housing Pilot Program''; and

            (3) by striking the item relating to section 8071 and 
        inserting the following:

``Sec. 8071. CAREER Act; Recovery Housing Pilot Program.''.

SEC. 546. ADDRESSING ECONOMIC AND WORKFORCE IMPACTS OF THE OPIOID 
              CRISIS.

    Section 8041(g)(1) of the SUPPORT for Patients and Communities Act 
(29 U.S.C. 3225a(g)(1)) is amended by striking ``2023'' and inserting 
``2029''.

                   Subtitle D--Miscellaneous Matters

SEC. 551. DELIVERY OF A CONTROLLED SUBSTANCE BY A PHARMACY TO A 
              PRESCRIBING PRACTITIONER.

    Section 309A(a) of the Controlled Substances Act (21 U.S.C. 
829a(a)) is amended by striking paragraph (2) and inserting the 
following:
            ``(2) the controlled substance is a drug in schedule III, 
        IV, or V to be administered--
                    ``(A) by injection or implantation for the purpose 
                of maintenance or detoxification treatment; or
                    ``(B) subject to a risk evaluation and mitigation 
                strategy pursuant to section 505-1 of the Federal Food, 
                Drug, and Cosmetic Act (21 U.S.C. 355-1) that includes 
                elements to assure safe use of the drug described in 
                subsection (f)(3)(E) of such section, including a 
                requirement for post-administration monitoring by a 
                health care provider.''.

SEC. 552. TECHNICAL CORRECTION ON CONTROLLED SUBSTANCES DISPENSING.

    Effective as if included in the enactment of Public Law 117-328--
            (1) section 1252(a) of division FF of Public Law 117-328 
        (136 Stat. 5681) is amended, in the matter being inserted into 
        section 302(e) of the Controlled Substances Act, by striking 
        ``303(g)'' and inserting ``303(h)'';
            (2) section 1262 of division FF of Public Law 117-328 (136 
        Stat. 5681) is amended--
                    (A) in subsection (a)--
                            (i) in the matter preceding paragraph (1), 
                        by striking ``303(g)'' and inserting 
                        ``303(h)'';
                            (ii) in the matter being stricken by 
                        subsection (a)(2), by striking ``(g)(1)'' and 
                        inserting ``(h)(1)''; and
                            (iii) in the matter being inserted by 
                        subsection (a)(2), by striking ``(g) 
                        Practitioners'' and inserting ``(h) 
                        Practitioners''; and
                    (B) in subsection (b)--
                            (i) in the matter being stricken by 
                        paragraph (1), by striking ``303(g)(1)'' and 
                        inserting ``303(h)(1)'';
                            (ii) in the matter being inserted by 
                        paragraph (1), by striking ``303(g)'' and 
                        inserting ``303(h)'';
                            (iii) in the matter being stricken by 
                        paragraph (2)(A), by striking ``303(g)(2)'' and 
                        inserting ``303(h)(2)'';
                            (iv) in the matter being stricken by 
                        paragraph (3), by striking ``303(g)(2)(B)'' and 
                        inserting ``303(h)(2)(B)'';
                            (v) in the matter being stricken by 
                        paragraph (5), by striking ``303(g)'' and 
                        inserting ``303(h)''; and
                            (vi) in the matter being stricken by 
                        paragraph (6), by striking ``303(g)'' and 
                        inserting ``303(h)''; and
            (3) section 1263(b) of division FF of Public Law 117-328 
        (136 Stat. 5685) is amended--
                    (A) by striking ``303(g)(2)'' and inserting 
                ``303(h)(2)''; and
                    (B) by striking ``(21 U.S.C. 823(g)(2))'' and 
                inserting ``(21 U.S.C. 823(h)(2))''.

SEC. 553. REQUIRED TRAINING FOR PRESCRIBERS OF CONTROLLED SUBSTANCES.

    (a) In General.--Section 303 of the Controlled Substances Act (21 
U.S.C. 823) is amended--
            (1) by redesignating the second subsection designated as 
        subsection (l) as subsection (m); and
            (2) in subsection (m)(1), as so redesignated--
                    (A) in subparagraph (A)--
                            (i) in clause (iv)--
                                    (I) in subclause (I)--
                                            (aa) by inserting ``the 
                                        American Academy of Family 
                                        Physicians, the American 
                                        Podiatric Medical Association, 
                                        the Academy of General 
                                        Dentistry, the American 
                                        Optometric Association,'' 
                                        before ``or any other 
                                        organization'';
                                            (bb) by striking ``or the 
                                        Commission'' and inserting 
                                        ``the Commission''; and
                                            (cc) by inserting ``, or 
                                        the Council on Podiatric 
                                        Medical Education'' before the 
                                        semicolon at the end; and
                                    (II) in subclause (III), by 
                                inserting ``or the American Academy of 
                                Family Physicians'' after 
                                ``Association''; and
                            (ii) in clause (v), in the matter preceding 
                        subclause (I)--
                                    (I) by striking ``osteopathic 
                                medicine, dental surgery'' and 
                                inserting ``osteopathic medicine, 
                                podiatric medicine, dental surgery''; 
                                and
                                    (II) by striking ``or dental 
                                medicine curriculum'' and inserting 
                                ``or dental or podiatric medicine 
                                curriculum''; and
                    (B) in subparagraph (B)--
                            (i) in clause (i)--
                                    (I) by inserting ``the American 
                                Pharmacists Association, the 
                                Accreditation Council on Pharmacy 
                                Education, the American Psychiatric 
                                Nurses Association, the American 
                                Academy of Nursing, the American 
                                Academy of Family Physicians,'' before 
                                ``or any other organization''; and
                                    (II) by inserting ``, the American 
                                Academy of Family Physicians,'' before 
                                ``or the Accreditation Council''; and
                            (ii) in clause (ii)--
                                    (I) by striking ``or accredited 
                                school'' and inserting ``, an 
                                accredited school''; and
                                    (II) by inserting ``, or an 
                                accredited school of pharmacy'' before 
                                ``in the United States''.
    (b) Effective Date.--The amendment made by subsection (a) shall 
take effect as if enacted on December 29, 2022.

SEC. 554. EXTENSION OF TEMPORARY ORDER FOR FENTANYL-RELATED SUBSTANCES.

    Effective as if included in the enactment of the Temporary 
Reauthorization and Study of the Emergency Scheduling of Fentanyl 
Analogues Act (Public Law 116-114), section 2 of such Act is amended by 
striking ``March 31, 2025'' and inserting ``September 30, 2026''.

      TITLE VI--PANDEMIC AND ALL-HAZARDS PREPAREDNESS AND RESPONSE

SEC. 601. SHORT TITLE.

    This title may be cited as the ``Pandemic and All-Hazards 
Preparedness and Response Act''.

           Subtitle A--State and Local Readiness and Response

SEC. 611. TEMPORARY REASSIGNMENT OF STATE AND LOCAL PERSONNEL DURING A 
              PUBLIC HEALTH EMERGENCY.

    Section 319(e) of the Public Health Service Act (42 U.S.C. 247d(e)) 
is amended--
            (1) in paragraph (1), by striking ``tribal organization or 
        such Governor or tribal organization's designee'' and inserting 
        ``Tribal organization or the designee of the Governor or Tribal 
        organization, or the State or Tribal health official'';
            (2) in paragraph (2)(B)--
                    (A) in the matter preceding clause (i), by striking 
                ``tribal organization'' and inserting ``Tribal 
                organization, or the State or Tribal health official''; 
                and
                    (B) in clause (v), by striking ``tribal 
                organization'' and inserting ``Tribal organization or 
                State or Tribal health official'';
            (3) in paragraph (6)--
                    (A) in the matter preceding subparagraph (A)--
                            (i) by striking ``Reauthorization Act of 
                        2013'' and inserting ``and Response Act''; and
                            (ii) by striking ``appropriate committees 
                        of the Congress'' and inserting ``Committee on 
                        Health, Education, Labor, and Pensions of the 
                        Senate and the Committee on Energy and Commerce 
                        of the House of Representatives''; and
                    (B) in subparagraph (A), by inserting ``, including 
                requests from State or Tribal health officials'' before 
                the semicolon;
            (4) in paragraph (7)(A), by striking ``tribal 
        organization'' and inserting ``Tribal organization''; and
            (5) in paragraph (8), by striking ``March 31, 2025'' and 
        inserting ``December 31, 2026''.

SEC. 612. PUBLIC HEALTH EMERGENCY PREPAREDNESS PROGRAM.

    Section 319C-1 of the Public Health Service Act (42 U.S.C. 247d-3a) 
is amended--
            (1) in subsection (b)(2)--
                    (A) in subparagraph (A)(ii), by striking 
                ``influenza'' and inserting ``response planning''; and
                    (B) in subparagraph (H), by inserting ``, such as 
                community-based organizations, including faith-based 
                organizations, and other public and private entities'' 
                after ``stakeholders'';
            (2) in subsection (g)--
                    (A) in paragraph (1), in the matter preceding 
                subparagraph (A), by inserting ``and the ability of 
                each entity receiving an award under subsection (a) to 
                respond to all-hazards threats'' before the period at 
                the end of the first sentence;
                    (B) in paragraph (2)--
                            (i) in the paragraph heading, by striking 
                        ``influenza'' and inserting ``response''; and
                            (ii) in subparagraph (A)--
                                    (I) by striking ``to pandemic 
                                influenza'' and inserting ``to a 
                                pathogen causing a pandemic, including 
                                pandemic influenza''; and
                                    (II) by striking ``such pandemic 
                                influenza'' and inserting ``such 
                                pandemic response'';
                    (C) in paragraph (5)--
                            (i) in the paragraph heading, by striking 
                        ``influenza'' and inserting ``pandemic 
                        response'';
                            (ii) in the matter preceding subparagraph 
                        (A), by striking ``2019'' and inserting 
                        ``2026'';
                            (iii) in subparagraph (A), by striking 
                        ``2018'' and inserting ``2025''; and
                            (iv) in subparagraph (B), by striking 
                        ``pandemic influenza'' and inserting ``a 
                        pathogen causing a pandemic''; and
                    (D) in paragraph (6)--
                            (i) in subparagraph (A), in the matter 
                        preceding clause (i), by striking ``The amounts 
                        described in this paragraph are the following 
                        amounts that are payable to an entity for 
                        activities described in this section or section 
                        319C-2'' and inserting ``The Secretary shall 
                        withhold from an entity pursuant to paragraph 
                        (5) for noncompliance with the requirements of 
                        this section or section 319C-2 as follows''; 
                        and
                            (ii) in subparagraph (B), by inserting 
                        ``with respect to the requirements of this 
                        section or section 319C-2'' after ``paragraph 
                        (5)''; and
            (3) in subsection (h)(1)(A), by striking ``$685,000,000 for 
        each of fiscal years 2019 through 2023'' and inserting 
        ``$735,000,000 for each of fiscal years 2025 and 2026, to 
        remain available through December 31, 2026''.

SEC. 613. HOSPITAL PREPAREDNESS PROGRAM.

    (a) Increasing Participation by EMS in the Hospital Preparedness 
Program.--
            (1) In general.--Section 319C-2 of the Public Health 
        Service Act (42 U.S.C. 247d-3b) is amended--
                    (A) in subsection (b)(1)(A)--
                            (i) in clause (iii)(III), by striking ``; 
                        and'' and inserting a semicolon; and
                            (ii) by striking clause (iv) and inserting 
                        the following:
                            ``(iv) one or more emergency medical 
                        service organizations; and
                            ``(v) to the extent practicable, one or 
                        more emergency management organizations; and''; 
                        and
                    (B) in subsection (g)(1)--
                            (i) by striking ``(1) Local response 
                        capabilities'' and inserting:
            ``(1) Local response capabilities.--
                    ``(A) Program coordination.--'';
                            (ii) by striking ``extent practicable, 
                        ensure'' and inserting the following: ``extent 
                        practicable--
                            ``(i) ensure'';
                            (iii) by striking the period and inserting 
                        ``; and''; and
                            (iv) by adding at the end the following:
                            ``(ii) seek to increase participation of 
                        eligible entities described in subsection 
                        (b)(1)(A) with lower participation rates 
                        relative to other eligible entities, such as 
                        emergency medical services organizations and 
                        health care facilities in underserved areas.''.
            (2) Preferences.--Section 319C-2(d)(1)(A)(iii) of the 
        Public Health Service Act (42 U.S.C. 247d-3b(d)(1)(A)(iii)) is 
        amended by striking ``subsection (b)(1)(A)(ii)'' and inserting 
        ``clauses (ii) and (iv) of subsection (b)(1)(A)''.
    (b) Improving Medical Readiness and Response Capabilities.--Section 
319C-2 of the Public Health Service Act (42 U.S.C. 247d-3b) is 
amended--
            (1) in subsection (b)(2)--
                    (A) in subparagraph (A), by striking ``and'' at the 
                end;
                    (B) in subparagraph (B), by striking the period and 
                inserting ``; and''; and
                    (C) by inserting at the end the following:
            ``(C) designate a lead entity to administer such award and 
        support coordination between entities described in this 
        subsection.'';
            (2) in subsection (g)(1), as amended by subsection 
        (a)(1)(B), by adding at the end the following:
                    ``(B) Regional operations.--An eligible entity 
                shall establish and maintain, or leverage an existing, 
                capability to enable coordination of regional medical 
                operations, which may include systems to facilitate 
                information sharing and coordination, within a 
                coalition described under subsection (b)(1)(A) and, as 
                appropriate, among multiple coalitions that are in 
                close geographic proximity to each other.''; and
            (3) in subsection (j)(1)--
                    (A) in subparagraph (A), by striking ``for each of 
                fiscal years 2019 through 2023'' and inserting ``for 
                each of fiscal years 2025 and 2026, to remain available 
                through December 31, 2026''; and
                    (B) in subparagraph (B)(iii), by striking 
                ``September 30, 2023'' and inserting ``December 31, 
                2026''.

SEC. 614. FACILITIES AND CAPACITIES OF THE CENTERS FOR DISEASE CONTROL 
              AND PREVENTION TO COMBAT PUBLIC HEALTH SECURITY THREATS.

    Section 319D(h) of the Public Health Service Act (42 U.S.C. 247d-
4(h)) is amended--
            (1) in paragraph (1), by striking ``$25,000,000 for each of 
        fiscal years 2022 and 2023'' and inserting ``$40,000,000 for 
        each of fiscal years 2025 and 2026, to remain available through 
        December 31, 2026''; and
            (2) in paragraph (2), by striking ``2022 and 2023'' and 
        inserting ``2025 and 2026, to remain available through December 
        31, 2026''.

SEC. 615. PILOT PROGRAM TO SUPPORT STATE MEDICAL STOCKPILES.

    (a) In General.--Section 319F-2(i) of the Public Health Service Act 
(42 U.S.C. 247d-6b(i)) is amended--
            (1) in paragraph (2)(B)(i)--
                    (A) in subclause (I), by striking ``and 2024'' and 
                inserting ``through 2025''; and
                    (B) in subclause (II), by striking ``2025'' and 
                inserting ``2026'';
            (2) in paragraph (4)--
                    (A) in subparagraph (G), by striking ``; and'' at 
                the end and inserting a semicolon;
                    (B) by redesignating subparagraph (H) as 
                subparagraph (I);
                    (C) by inserting after subparagraph (G) the 
                following:
                    ``(H) facilitate the sharing of best practices 
                among States within a consortia of States in receipt of 
                funding related to establishing and maintaining a 
                stockpile of medical products; and''; and
                    (D) in subparagraph (I), as so redesignated, by 
                striking ``State efforts'' and inserting ``State or 
                regional efforts'';
            (3) by redesignating paragraphs (5) through (9) as 
        paragraphs (6) through (10), respectively;
            (4) by inserting after paragraph (4) the following:
            ``(5) Coordination.--An entity in receipt of an award under 
        paragraph (1), in carrying out the activities under this 
        subsection, shall coordinate with appropriate health care 
        entities, health officials, and emergency management officials 
        within the jurisdiction of such State or States.''; and
            (5) in paragraph (10), as so redesignated, by striking 
        ``$3,500,000,000 for each of fiscal years 2023 and 2024'' and 
        inserting ``$3,365,000,000 for fiscal year 2025, and 
        $3,265,000,000 for fiscal year 2026''.
    (b) GAO Report.--Section 2409(b) of the PREVENT Pandemics Act 
(Public Law 117-328) is amended--
            (1) in paragraph (2), by striking ``; and'' and inserting a 
        semicolon;
            (2) in paragraph (3), by striking the period and inserting 
        ``; and''; and
            (3) by adding at the end the following:
            ``(4) the impact of any regional stockpiling approaches 
        carried out under subsection (i)(1) of section 319F-2 of the 
        Public Health Service Act (42 U.S.C. 247d-6b).''.

SEC. 616. ENHANCING DOMESTIC WASTEWATER SURVEILLANCE FOR PATHOGEN 
              DETECTION.

    (a) In General.--Title III of the Public Health Service Act is 
amended by inserting after section 317V (42 U.S.C. 247b-24) the 
following:

``SEC. 317W. WASTEWATER SURVEILLANCE FOR PATHOGEN DETECTION.

    ``(a) Wastewater Surveillance System.--The Secretary, acting 
through the Director of the Centers for Disease Control and Prevention 
and in coordination with other Federal departments and agencies, shall 
award grants, contracts, or cooperative agreements to eligible entities 
to establish, maintain, or improve activities related to the detection 
and monitoring of infectious diseases through wastewater for public 
health emergency preparedness and response purposes.
    ``(b) Eligible Entities.--To be eligible to receive an award under 
this section, an entity shall--
            ``(1) be a State, Tribal, or local health department, or a 
        partnership between such a health department and other public 
        and private entities; and
            ``(2) submit to the Secretary an application at such time, 
        in such manner, and containing such information as the 
        Secretary may reasonably require, which shall include--
                    ``(A) a description of activities proposed to be 
                carried out pursuant to an award under subsection (a);
                    ``(B) factors such entity proposes to use to select 
                wastewater sampling sites;
                    ``(C) factors such entity proposes to use to 
                determine whether a response to findings from such 
                wastewater sampling may be warranted, and a plan for 
                responding, as appropriate, consistent with applicable 
                plans developed by such entity pursuant to section 
                319C-1;
                    ``(D) a plan to sustain such wastewater 
                surveillance activities described in such application 
                following the conclusion of the award period; and
                    ``(E) any additional information the Secretary may 
                require.
    ``(c) Consideration.--In making awards under subsection (a), the 
Secretary may give priority to eligible entities that have submitted an 
application that--
            ``(1) details plans to provide public access to 
        deidentified data generated through such wastewater 
        surveillance activities in a manner that allows for comparison 
        to such data generated by other recipients of an award under 
        subsection (a); and
            ``(2) provides an assessment of community needs related to 
        ongoing infectious disease monitoring, including estimates of 
        the incidence and prevalence of infectious diseases that can be 
        detected in wastewater and availability, at the time of the 
        application, of other forms of infectious disease detection in 
        the jurisdiction.
    ``(d) Use of Funds.--An eligible entity shall, as appropriate, use 
amounts awarded under this section to--
            ``(1) establish or enhance existing capacity and 
        capabilities to conduct wastewater sampling, testing, and 
        related analysis;
            ``(2) conduct wastewater surveillance, as appropriate, in 
        areas or facilities with increased risk of infectious disease 
        outbreaks and limited ability to utilize other forms of 
        infectious disease detection, such as at individual facilities, 
        institutions, and locations in rural areas or areas in which 
        wastewater is not treated through the relevant local utility of 
        the jurisdiction; and
            ``(3) implement projects that use evidence-based or 
        innovative practices to conduct wastewater surveillance 
        activities.
    ``(e) Partnerships.--In carrying out activities under this section, 
eligible entities shall identify opportunities to partner with other 
public or private entities to leverage relevant capabilities maintained 
by such entities, as appropriate and consistent with this section.
    ``(f) Technical Assistance.--The Secretary, in consultation with 
the heads of other applicable Federal agencies and departments, as 
appropriate, shall provide technical assistance to recipients of awards 
under this section to facilitate the planning, development, and 
implementation of activities described in subsection (d).
    ``(g) Authorization of Appropriations.--To carry out this section, 
there is authorized to be appropriated $20,000,000 for each of fiscal 
years 2025 and 2026, to remain available through December 31, 2026.''.
    (b) Wastewater Surveillance Research.--
            (1) In general.--The Secretary of Health and Human Services 
        (in this subsection referred to as the ``Secretary'') shall 
        continue to conduct or support research on the use of 
        wastewater surveillance to detect and monitor emerging 
        infectious diseases, which may include--
                    (A) research to improve the efficiency and 
                effectiveness of wastewater sample collection and 
                analysis and increase the sensitivity and specificity 
                of wastewater testing methods; and
                    (B) implementation and development of evidence-
                based practices to facilitate the estimation of the 
                incidence and prevalence of infectious disease within a 
                community.
            (2) Non-duplication of effort.--The Secretary shall ensure 
        that activities carried out under this subsection do not 
        unnecessarily duplicate efforts of other agencies and offices 
        within the Department of Health and Human Services related to 
        wastewater surveillance.

SEC. 617. REAUTHORIZATION OF MOSQUITO ABATEMENT FOR SAFETY AND HEALTH 
              PROGRAM.

    Section 317S of the Public Health Service Act (42 U.S.C. 247b-21) 
is amended--
            (1) in subsection (a)(3)(A), by striking ``subsection 
        (b)(3)'' and inserting ``subsection (b)(4)'';
            (2) in subsection (b)--
                    (A) by redesignating paragraphs (3) through (6) as 
                paragraphs (4) through (7), respectively; and
                    (B) by inserting after paragraph (2) the following:
            ``(3) Considerations.--The Secretary may consider the use 
        of innovative and novel technology for mosquito prevention and 
        control in making grants under paragraph (1).'';
            (3) by amending subsection (d) to read as follows:
    ``(d) Uses of Funds.--Amounts appropriated under subsection (f) may 
be used by the Secretary to provide training and technical assistance 
with respect to the planning, development, and operation of assessments 
and plans under subsection (a) and control programs under subsection 
(b). The Secretary may provide such training and technical assistance 
directly or through awards of grants or contracts to public and private 
entities.''; and
            (4) in subsection (f)(1), by striking ``2019 through 2023'' 
        and inserting ``2025 and 2026, to remain available through 
        December 31, 2026''.

             Subtitle B--Federal Planning and Coordination

SEC. 621. ALL-HAZARDS EMERGENCY PREPAREDNESS AND RESPONSE.

    Section 2811 of the Public Health Service Act (42 U.S.C. 300hh-10) 
is amended--
            (1) in subsection (b)--
                    (A) in paragraph (3)--
                            (i) by striking ``Oversee advanced 
                        research, development, and procurement'' and 
                        inserting the following:
                    ``(A) In general.--Oversee advanced research, 
                development, procurement, and replenishment''; and
                            (ii) by adding at the end the following:
                    ``(B) Development of requirements.--Lead the 
                development and approval, and, on a routine basis, the 
                review and update, of requirements for such 
                countermeasures and products, including related 
                capabilities, to inform the advanced research, 
                development, procurement, and replenishment decisions 
                of the Secretary.'';
                    (B) in paragraph (4)--
                            (i) in subparagraph (F)--
                                    (I) in the matter preceding clause 
                                (i), by striking ``and in consultation 
                                with the Secretary of Homeland 
                                Security,''; and
                                    (II) in clause (i), by inserting 
                                ``enhance'' after ``capabilities and'';
                            (ii) in subparagraph (G)--
                                    (I) in the matter preceding clause 
                                (i), by inserting ``the Office of 
                                Pandemic Preparedness and Response 
                                Policy,'' after ``Veterans Affairs,'';
                                    (II) in clause (i), by striking 
                                ``based on'' and inserting ``based on--
                                '';
                                    (III) in clause (ii), by striking 
                                ``; and'' at the end and inserting a 
                                semicolon;
                                    (IV) in clause (iii), by striking 
                                the period and inserting ``; and''; and
                                    (V) by adding at the end the 
                                following:
                            ``(iv) that include, as appropriate, 
                        participation by relevant industry, academia, 
                        professional societies, and other 
                        stakeholders.'';
                            (iii) in subparagraph (H)--
                                    (I) by inserting ``and the Director 
                                of the Office of Pandemic Preparedness 
                                and Response Policy'' after ``Security 
                                Affairs''; and
                                    (II) by inserting ``and medical 
                                product and supply capacity planning 
                                pursuant to subparagraph (J), including 
                                discussion of any relevant identified 
                                supply chain vulnerabilities'' before 
                                the period at the end;
                            (iv) in subparagraph (I), by inserting 
                        ``the Director of the Office of Pandemic 
                        Preparedness and Response Policy,'' after 
                        ``Security Affairs,''; and
                            (v) in subparagraph (J)(i), in the matter 
                        preceding subclause (I), by inserting 
                        ``(including ancillary medical supplies and 
                        components of medical products, such as active 
                        pharmaceutical ingredients, key starting 
                        materials, medical device components, testing 
                        kits, reagents, and other testing supplies)'' 
                        after ``supply needs''; and
                    (C) in paragraph (7)--
                            (i) in the matter preceding subparagraph 
                        (A), by inserting ``and the requirements 
                        developed pursuant to paragraph (3)(B)'' after 
                        ``subsection (d)'';
                            (ii) by redesignating subparagraphs (E) and 
                        (F) as subparagraphs (F) and (G), respectively; 
                        and
                            (iii) by inserting after subparagraph (D) 
                        the following:
                    ``(E) include a professional judgment of 
                anticipated budget needs for each future fiscal year 
                accounted for in such plan to account for the full 
                range of anticipated medical countermeasure needs and 
                life-cycle costs to address such priorities and 
                requirements;'';
            (2) in subsection (d)--
                    (A) by amending paragraph (1) to read as follows:
            ``(1) In general.--Not later than March 15, 2020, and 
        biennially thereafter, the Assistant Secretary for Preparedness 
        and Response shall develop and submit to the Committee on 
        Health, Education, Labor, and Pensions of the Senate and the 
        Committee on Energy and Commerce of the House of 
        Representatives a coordinated strategy for medical 
        countermeasures to address chemical, biological, radiological, 
        and nuclear threats, informed by the requirements developed 
        pursuant to subsection (b)(3)(B). Not later than 180 days after 
        the submission of such strategy to such committees, the 
        Assistant Secretary for Preparedness and Response shall submit 
        an accompanying implementation plan to such committees. In 
        developing such a strategy and plan, the Assistant Secretary 
        for Preparedness and Response shall consult with the Public 
        Health Emergency Medical Countermeasures Enterprise established 
        under section 2811-1. Such strategy and plan shall be known as 
        the Public Health Emergency Medical Countermeasures Enterprise 
        Strategy and Implementation Plan.''; and
                    (B) in paragraph (2), in the matter preceding 
                subparagraph (A), by inserting ``strategy and'' before 
                ``plan''; and
            (3) in subsection (f)--
                    (A) in paragraph (1), in the matter preceding 
                subparagraph (A), by inserting ``, including such 
                agents that are an emerging infectious disease'' after 
                ``become a pandemic''; and
                    (B) in paragraph (2)(A), by striking ``$250,000,000 
                for each of fiscal years 2019 through 2023'' and 
                inserting ``$335,000,000 for each of fiscal years 2025 
                and 2026, to remain available through December 31, 
                2026''.

SEC. 622. NATIONAL HEALTH SECURITY STRATEGY.

    Section 2802 of the Public Health Service Act (42 U.S.C. 300hh-1) 
is amended--
            (1) in subsection (a)(3)--
                    (A) by striking ``In 2022, the'' and inserting 
                ``The''; and
                    (B) by inserting ``, maintaining, and sustaining'' 
                after ``establishing''; and
            (2) in subsection (b)--
                    (A) in paragraph (2)--
                            (i) in subparagraph (A), by inserting 
                        ``that support interagency coordination and 
                        availability of information, as appropriate'' 
                        before the period; and
                            (ii) in subparagraph (B), by inserting 
                        ``rapid testing,'' after ``and supplies,'';
                    (B) in paragraph (3)--
                            (i) in the matter preceding subparagraph 
                        (A), by inserting ``and blood banks'' after 
                        ``dental health facilities'';
                            (ii) in subparagraph (C), by inserting 
                        ``and current capacity of facilities within 
                        such systems, as applicable'' before the 
                        period; and
                            (iii) in subparagraph (D), by inserting 
                        ``and other medical products and medical 
                        supplies consistent with the activities carried 
                        out under section 2811(b)(4)(J)'' before the 
                        period;
                    (C) in paragraph (5), by inserting ``applicable 
                federally funded activities and'' after ``(including'';
                    (D) in paragraph (8)--
                            (i) in subparagraph (A), by inserting 
                        ``public health and medical'' before 
                        ``activities''; and
                            (ii) in subparagraph (B), by striking 
                        ``familiarity with'' and inserting 
                        ``understanding of, and coordination 
                        between,'';
                    (E) by redesignating paragraphs (9) and (10) as 
                paragraphs (10) and (12), respectively;
                    (F) by inserting after paragraph (8) the following:
            ``(9) Other settings.--Supporting Federal, State, local, 
        and Tribal coordination and planning with respect to facilities 
        in which there is an increased risk of infectious disease 
        outbreaks, including such facilities that address the needs of 
        at-risk individuals, in the event of a public health emergency 
        declared under section 319.'';
                    (G) by inserting after subparagraph (10), as so 
                redesignated, the following:
            ``(11) Other hazards.--Assessing current and potential 
        health security threats from natural disasters with respect to 
        public health and medical preparedness and response.'';
                    (H) by inserting after paragraph (12), as so 
                redesignated, the following:
            ``(13) Cybersecurity resiliency of health care systems.--
        Consistent with the requirements of section 2218 of the 
        Homeland Security Act of 2002, strengthening the ability of 
        States, local communities, and Tribal communities to prepare 
        for, respond to, and be resilient against cybersecurity 
        vulnerabilities or cybersecurity attacks that affect public 
        health and health information technology, and encouraging 
        health care facilities to use recognized security practices 
        meeting or exceeding the approaches established under section 
        405(d) of the Cybersecurity Act of 2015.''; and
                    (I) by striking ``tribal'' each place it appears 
                and inserting ``Tribal''.

SEC. 623. IMPROVING DEVELOPMENT AND DISTRIBUTION OF DIAGNOSTIC TESTS.

    Section 319B of the Public Health Service Act (42 U.S.C. 247d-2) is 
amended to read as follows:

``SEC. 319B. IMPROVING DEVELOPMENT AND DISTRIBUTION OF DIAGNOSTIC 
              TESTS.

    ``(a) Diagnostic Testing Preparedness Plan.--The Secretary shall 
develop, make publicly available, not later than 1 year after the date 
of enactment of the Pandemic and All-Hazards Preparedness and Response 
Act, and update not less frequently than every 3 years thereafter, a 
plan for the rapid development, validation, authorization, manufacture, 
procurement, and distribution of diagnostic tests, and for rapid 
scaling of testing capacity, in response to chemical, biological, 
radiological, or nuclear threats, including emerging infectious 
diseases, for which a public health emergency is declared under section 
319, or that has significant potential to cause such a public health 
emergency.
    ``(b) Purposes.--The purpose of the plan under subsection (a) shall 
be to--
            ``(1) facilitate the development and utilization of 
        diagnostic tests;
            ``(2) describe the processes for the rapid development, 
        validation, authorization, manufacture, procurement, and 
        distribution of diagnostic tests, and for rapid scaling of 
        testing capacity; and
            ``(3) facilitate coordination and collaboration among 
        public and private entities to improve the rapid development 
        and utilization of diagnostic testing during a public health 
        emergency.
    ``(c) Considerations.--The plan under subsection (a) shall take 
into consideration--
            ``(1) domestic capacity, including any such capacity 
        established through partnerships with public and private 
        entities pursuant to subsection (e), to support the 
        development, validation, manufacture, procurement, and 
        distribution of tests, and the rapid scaling of testing 
        capacity;
            ``(2) novel technologies and platforms that--
                    ``(A) may be used to improve testing capabilities, 
                including--
                            ``(i) high-throughput laboratory 
                        diagnostics;
                            ``(ii) point-of-care diagnostics; and
                            ``(iii) rapid at-home diagnostics;
                    ``(B) improve the accessibility of diagnostic 
                tests; and
                    ``(C) facilitate the development and manufacture of 
                diagnostic tests;
            ``(3) medical supply needs related to testing, including 
        diagnostic testing, equipment, supplies, and component parts, 
        and any potential vulnerabilities related to the availability 
        of such medical supplies and related planning needs, consistent 
        with section 2811(b)(4)(J);
            ``(4) strategies for the rapid and efficient distribution 
        of tests locally, regionally, or nationwide and appropriate 
        scaling of laboratory testing capacity; and
            ``(5) assessment of such strategies through drills and 
        operational exercises carried out under section 2811(b)(4)(G), 
        as appropriate.
    ``(d) Coordination.--To inform the development and update of the 
plan under subsection (a), and in carrying out activities to implement 
such plan, the Secretary shall coordinate with industry, such as device 
manufacturers, clinical and reference laboratories, and medical product 
distributors, States, local governmental entities, Indian Tribes and 
Tribal organizations, and other relevant public and private entities.
    ``(e) Capacity Building.--The Secretary may contract with public 
and private entities, as appropriate, to increase domestic capacity in 
the rapid development, validation, authorization, manufacture, 
procurement, and distribution of diagnostic tests, as appropriate, to 
State, local, and Tribal health departments and other appropriate 
entities for immediate public health response activities to address an 
infectious disease with respect to which a public health emergency is 
declared under section 319, or that has significant potential to cause 
such a public health emergency.''.

SEC. 624. COMBATING ANTIMICROBIAL RESISTANCE.

    (a) In General.--Section 319E of the Public Health Service Act (42 
U.S.C. 247d-5) is amended--
            (1) in subsection (a)--
                    (A) in paragraph (1), by inserting ``and 
                activities'' after ``Federal programs'';
                    (B) in paragraph (2)--
                            (i) by striking ``public health 
                        constituencies, manufacturers, veterinary and 
                        medical professional societies and others'' and 
                        inserting ``the Advisory Council described in 
                        subsection (b) and relevant public and private 
                        entities''; and
                            (ii) by inserting ``, pursuant to paragraph 
                        (4),'' after ``comprehensive plan'';
                    (C) by amending paragraph (3) to read as follows:
            ``(3) Agenda.--The task force described in paragraph (1) 
        shall consider factors the Secretary considers appropriate, 
        including factors to--
                    ``(A) slow the emergence of resistant bacteria and 
                fungi and prevent the spread of resistant infections;
                    ``(B) strengthen activities to combat resistance 
                with respect to zoonotic diseases;
                    ``(C) advance development and use of rapid and 
                innovative capabilities, including diagnostic tests, 
                for identification and characterization of resistant 
                bacteria and fungi;
                    ``(D) accelerate basic and applied research and 
                development for new antibiotics, antifungals, and other 
                related therapeutics and vaccines; and
                    ``(E) support international collaboration and 
                capacities for antimicrobial-resistance prevention, 
                detection, and control.'';
                    (D) by redesignating paragraph (4) as paragraph 
                (5); and
                    (E) by inserting after paragraph (3) the following:
            ``(4) Action plan.--Not later than October 1, 2026, and 
        every 5 years thereafter, the task force described in paragraph 
        (1) shall develop and submit to the Committee on Health, 
        Education, Labor, and Pensions and the Committee on 
        Appropriations of the Senate and the Committee on Energy and 
        Commerce and the Committee on Appropriations of the House of 
        Representatives a plan regarding Federal programs and 
        activities to combat antimicrobial resistance, including 
        measurable outcomes, as appropriate, informed by--
                    ``(A) the agenda described in paragraph (3);
                    ``(B) input provided by the Advisory Council 
                described in subsection (b); and
                    ``(C) input from other relevant stakeholders 
                provided pursuant to paragraph (2).'';
            (2) by redesignating subsections (b) through (o) as 
        subsections (c) through (p), respectively;
            (3) by inserting after subsection (a) the following:
    ``(b) Advisory Council.--
            ``(1) In general.--The Secretary may continue the 
        Presidential Advisory Council on Combating Antibiotic-Resistant 
        Bacteria, referred to in this subsection as the `Advisory 
        Council'.
            ``(2) Duties.--The Advisory Council shall advise and 
        provide information and recommendations to the Secretary, 
        acting through the Task Force established under subsection (a), 
        regarding Federal programs and activities intended to reduce or 
        combat antimicrobial-resistant bacteria or fungi that may 
        present a public health threat and improve capabilities to 
        prevent, diagnose, mitigate, or treat such resistance. Such 
        advice, information, and recommendations may be related to 
        improving Federal efforts related to factors described in 
        subsection (a)(3) and other topics related to antimicrobial 
        resistance, as appropriate.
            ``(3) Meetings and coordination.--
                    ``(A) Meetings.--The Advisory Council shall meet 
                not less frequently than biannually and, to the extent 
                practicable, in coordination with meetings of the task 
                force established under subsection (a).
                    ``(B) Coordination.--The Advisory Council shall, to 
                the greatest extent practicable, coordinate activities 
                carried out by the Council with the task force 
                established under subsection (a).
            ``(4) FACA.--Chapter 10 of title 5, United States Code, 
        shall apply to the activities and duties of the Advisory 
        Council.
            ``(5) Sunset.--
                    ``(A) In general.--The Advisory Council under this 
                subsection shall terminate on December 31, 2026.
                    ``(B) Extension of advisory council.--Not later 
                than October 1, 2026, the Secretary shall submit to the 
                Committee on Health, Education, Labor, and Pensions of 
                the Senate and the Committee on Energy and Commerce of 
                the House of Representatives a report that includes a 
                recommendation on whether the Advisory Council should 
                be extended, and identifying whether there are other 
                committees, councils, or task forces that have 
                overlapping or similar duties to that of the Advisory 
                Council, and whether such committees, councils, or task 
                forces should be combined, restructured, or eliminated, 
                including with respect to the task force established 
                under subsection (a).''; and
            (4) in subsection (n), as so redesignated, by striking 
        ``(f) through (j)'' and inserting ``(g) through (k)''.
    (b) Conforming Amendment.--Section 505 of the Pandemic and All-
Hazards Preparedness and Advancing Innovation Act of 2019 (42 U.S.C. 
247d-5 note; Public Law 116-22) is amended by striking subsection (a) 
and all that follows through ``Not later'' in subsection (e) and 
inserting the following:
    ``Not later''.

SEC. 625. STRATEGIC NATIONAL STOCKPILE AND MATERIAL THREATS.

    Section 319F-2 of the Public Health Service Act (42 U.S.C. 247d-6b) 
is amended--
            (1) in subsection (a)--
                    (A) in paragraph (2)--
                            (i) in subparagraph (A), by inserting 
                        ``Such review shall include a description of 
                        how the Secretary manages and mitigates risks 
                        associated with gaps between current inventory 
                        levels and stockpiling goals, prioritizes such 
                        risks, and tracks progress toward mitigation of 
                        such risks.'' after the first sentence; and
                            (ii) in subparagraph (B)(i), by amending 
                        subclause (IV) to read as follows:
                                    ``(IV) the emergency health 
                                security threat or threats such 
                                countermeasure procurement is intended 
                                to address, including--
                                            ``(aa) whether such 
                                        procurement is consistent with 
                                        meeting emergency health 
                                        security needs associated with 
                                        such threat or threats; and
                                            ``(bb) in the case of a 
                                        countermeasure that addresses a 
                                        biological agent, whether such 
                                        agent has an increased 
                                        likelihood to become resistant 
                                        to, more resistant to, or 
                                        evade, such countermeasure 
                                        relative to other available 
                                        medical countermeasures;'';
                    (B) in paragraph (3)--
                            (i) in subparagraph (B), by striking ``are 
                        followed, regularly reviewed, and updated with 
                        respect to such stockpile'' and inserting 
                        ``with respect to such stockpile are followed, 
                        regularly reviewed, and updated to reflect best 
                        practices'';
                            (ii) in subparagraph (I), by inserting ``, 
                        through a standard operating procedure,'' after 
                        ``ensure'';
                            (iii) by redesignating subparagraphs (H) 
                        through (K) as subparagraphs (I) through (L), 
                        respectively;
                            (iv) by inserting after subparagraph (G) 
                        the following:
                    ``(H) utilize tools to enable the timely and 
                accurate tracking of the contents of the stockpile 
                throughout the deployment of such contents, including 
                tracking of the location and geographic distribution 
                and utilization of such contents;'';
                            (v) in subparagraph (K), as so 
                        redesignated, by striking ``; and'' at the end 
                        and inserting a semicolon;
                            (vi) in subparagraph (L), as so 
                        redesignated, by striking the period and 
                        inserting ``; and''; and
                            (vii) by adding at the end the following:
                    ``(M) communicate to relevant vendors regarding 
                modifications, renewals, extensions, or terminations of 
                contracts, or the intent to exercise options for such 
                contracts, within 30 days, as practicable, of such 
                determination, including through the development of a 
                contract notification process.'';
                    (C) in paragraph (5)(B), in the matter preceding 
                clause (i), by inserting ``, which may accompany the 
                review required under paragraph (2),'' after 
                ``Representatives a report''; and
                    (D) in paragraph (6)(A)--
                            (i) by redesignating clauses (viii) through 
                        (x) as clauses (ix) through (xi), respectively; 
                        and
                            (ii) by inserting after clause (vii) the 
                        following:
                            ``(viii) with respect to any change in the 
                        Federal organizational management of the 
                        stockpile, an assessment and comparison of any 
                        differences in the processes and operations 
                        resulting from such change, including--
                                    ``(I) planning for potential 
                                countermeasure deployment, 
                                distribution, or dispensing 
                                capabilities;
                                    ``(II) organizational structure;
                                    ``(III) communication with relevant 
                                stakeholders related to procurement 
                                decisions;
                                    ``(IV) processes related to 
                                procurement, deployment, and use of 
                                stockpiled countermeasures;
                                    ``(V) communication and 
                                coordination with the Public Health 
                                Emergency Medical Countermeasures 
                                Enterprise and other related Federal 
                                entities;
                                    ``(VI) inventory management; and
                                    ``(VII) availability and use of 
                                resources for such activities;''; and
            (2) in subsection (c)(2)(C), by striking ``promptly'' and 
        inserting ``, not later than 60 days after each such 
        determination,'';
            (3) in subsection (f)(1), by striking ``$610,000,000 for 
        each of fiscal years 2019 through 2021, and $750,000,000 for 
        each of fiscal years 2022 and 2023'' and inserting 
        ``$1,100,000,000 for fiscal year 2025, and $1,210,000,000 for 
        fiscal year 2026''; and
            (4) in subsection (g)(1), by striking ``2019 through 2028'' 
        and inserting ``2025 through 2034''.

SEC. 626. MEDICAL COUNTERMEASURES FOR VIRAL THREATS WITH PANDEMIC 
              POTENTIAL.

    Section 319L of the Public Health Service Act (42 U.S.C. 247d-7e) 
is amended--
            (1) in subsection (c)--
                    (A) in paragraph (4)--
                            (i) in subparagraph (D)--
                                    (I) in clause (ii), by striking ``; 
                                and'' and inserting a semicolon;
                                    (II) by redesignating clause (iii) 
                                as clause (iv); and
                                    (III) by inserting after clause 
                                (ii) the following:
                            ``(iii) research and development of medical 
                        countermeasures for priority virus families 
                        that have significant potential to cause a 
                        pandemic, including such countermeasures that 
                        take either pathogen-specific or pathogen-
                        agnostic approaches, and platform technologies 
                        to improve the development and manufacture of 
                        such medical countermeasures; and''; and
                            (ii) in subparagraph (F)(ii), by inserting 
                        ``or priority virus families and other viral 
                        pathogens that pose a threat due to their 
                        significant potential to cause a pandemic,'' 
                        after ``pandemic influenza,''; and
                    (B) in paragraph (5), by adding at the end the 
                following:
                    ``(I) Notification.--In awarding contracts, grants, 
                cooperative agreements, or other transactions under 
                this section, the Secretary shall communicate to 
                relevant vendors regarding modifications, renewals, 
                extensions, or terminations of contracts, including 
                through the development of a contract notification 
                process, within 30 days of such determination, as 
                practicable.'';
            (2) in subsection (d)(2), by striking ``$611,700,000 for 
        each of fiscal years 2019 through 2023'' and inserting 
        ``$950,000,000 for each of fiscal years 2025 and 2026''; and
            (3) in subsection (e)(1), by amending subparagraph (D) to 
        read as follows:
                    ``(D) Sunset.--This paragraph shall cease to have 
                force or effect after December 31, 2026.''.

SEC. 627. PUBLIC HEALTH EMERGENCY MEDICAL COUNTERMEASURES ENTERPRISE.

    Section 2811-1 of the Public Health Service Act (42 U.S.C. 300hh-
10a) is amended--
            (1) in subsection (b)--
                    (A) by redesignating paragraph (11) as paragraph 
                (13);
                    (B) by inserting after paragraph (10) the 
                following:
            ``(11) The Director of the Biomedical Advanced Research and 
        Development Authority.
            ``(12) The Director of the Strategic National Stockpile.''; 
        and
                    (C) in paragraph (13), as so redesignated, by 
                striking ``the Director of the Biomedical Advanced 
                Research and Development Authority, the Director of the 
                Strategic National Stockpile, the Director of the 
                National Institute of Allergy and Infectious 
                Diseases,'' and inserting ``the Director of the 
                National Institute of Allergy and Infectious 
                Diseases''; and
            (2) in subsection (c)--
                    (A) in paragraph (1)--
                            (i) by redesignating subparagraph (D) as 
                        subparagraph (E); and
                            (ii) by inserting after subparagraph (C) 
                        the following:
                    ``(D) Assist the Secretary in developing strategies 
                for appropriate and evidence-based allocation and 
                distribution of countermeasures to jurisdictions, in a 
                manner that supports the availability and use of such 
                countermeasures, for public health and medical 
                preparedness and response needs.'';
                    (B) in paragraph (2), by inserting ``relevant 
                stakeholders, including industry,'' after ``consider 
                input from''; and
                    (C) by adding at the end the following:
            ``(3) Information sharing.--The Secretary shall, as 
        appropriate and in a manner that does not compromise national 
        security, communicate and share information related to 
        recommendations made and strategies developed under paragraph 
        (1) with relevant stakeholders, including industry and State, 
        local, and Tribal public health departments.''.

SEC. 628. FELLOWSHIP AND TRAINING PROGRAMS.

    Section 317G of the Public Health Service Act (42 U.S.C. 247b-8) is 
amended--
            (1) by striking ``The Secretary,'' and inserting the 
        following:
    ``(a) In General.--The Secretary,''; and
            (2) by adding at the end the following:
    ``(b) Noncompetitive Conversion.--
            ``(1) In general.--The Secretary may noncompetitively 
        convert an individual who has completed an epidemiology, 
        surveillance, or laboratory fellowship or training program 
        under subsection (a) to a career-conditional appointment 
        without regard to the provisions of subchapter I of chapter 33 
        of title 5, United States Code, provided that such individual 
        meets qualification requirements for the appointment.''.

SEC. 629. REGIONAL BIOCONTAINMENT RESEARCH LABORATORIES.

    (a) In General.--The Secretary of Health and Human Services 
(referred to in this section as the ``Secretary'') shall make awards to 
establish or maintain, as applicable, not fewer than 12 regional 
biocontainment laboratories, for purposes of--
            (1) conducting biomedical research to support public health 
        and medical preparedness for, and rapid response to, biological 
        agents, including emerging infectious diseases;
            (2) ensuring the availability of surge capacity for 
        purposes of responding to such biological agents;
            (3) supporting information sharing between, and the 
        dissemination of findings to, researchers and other relevant 
        individuals to facilitate collaboration between industry and 
        academia; and
            (4) providing, as appropriate and applicable, technical 
        assistance and training to researchers and other relevant 
        individuals to support the biomedical research workforce in 
        improving the management and mitigation of safety and security 
        risks in the conduct of research involving such biological 
        agents.
    (b) Requirements.--As a condition of receiving a grant under this 
section, a regional biocontainment laboratory shall agree to such 
oversight activities as the Secretary determines appropriate, including 
periodic meetings with relevant officials of the Department of Health 
and Human Services, facility inspections, and other activities as 
necessary and appropriate to ensure compliance with the terms and 
conditions of such award.
    (c) Working Group.--The Secretary shall establish a Working Group, 
consisting of a representative from each entity in receipt of an award 
under subsection (a). The Working Group shall make recommendations to 
the Secretary in administering awards under this section, for purposes 
of--
            (1) improving the quality and consistency of applicable 
        procedures and practices within laboratories funded pursuant to 
        subsection (a); and
            (2) ensuring coordination, as appropriate, of federally 
        funded activities carried out at such laboratories.
    (d) Definition.--In this section, the term ``regional 
biocontainment laboratory'' means a Biosafety or Animal Biosafety 
Level-3 and Level-2 facility located at an institution in the United 
States that is designated by the Secretary to carry out the activities 
described in subsection (a).
    (e) Authorization of Appropriations.--To carry out this section, 
there are authorized to be appropriated $52,000,000 for each of fiscal 
years 2025 and 2026, to remain available through December 31, 2026.
    (f) Administrative Expenses.--Of the amount available to carry out 
this section for a fiscal year, the Secretary may use not more than 5 
percent for the administrative expenses of carrying out this section, 
including expenses related to carrying out subsection (c).
    (g) Report to Congress.--Not later than 1 year after the date of 
the enactment of this Act, and biannually thereafter, the Secretary, in 
consultation with the heads of applicable Federal departments and 
agencies shall report to the Committee on Health, Education, Labor, and 
Pensions of the Senate and the Committee on Energy and Commerce of the 
House of Representatives on--
            (1) the activities and accomplishments of the regional 
        biocontainment laboratories;
            (2) any published or disseminated research findings based 
        on research conducted in such laboratories in the applicable 
        year;
            (3) oversight activities carried out by the Secretary 
        pursuant to subsection (b);
            (4) activities undertaken by the Secretary to take into 
        consideration the capacity and capabilities of the network of 
        regional biocontainment laboratories in activities to prepare 
        for and respond to biological agents, which may include 
        leveraging such capacity and capabilities to support the 
        Laboratory Response Network, as applicable and appropriate;
            (5) plans for the maintenance and sustainment of federally 
        funded activities conducted at the regional biocontainment 
        laboratories, consistent with the strategy required under 
        section 2312 of the PREVENT Pandemics Act (Public Law 117-328); 
        and
            (6) activities undertaken by the Secretary to coordinate 
        with the heads of other relevant Federal departments and 
        agencies to ensure that work carried out by each such facility 
        on behalf of the Secretary and such other relevant heads is 
        prioritized, is complementary to the work carried out by other 
        such facilities and other relevant federally funded activities, 
        and avoids unnecessary duplication.

SEC. 629A. LIMITATION RELATED TO COUNTRIES OF CONCERN CONDUCTING 
              CERTAIN RESEARCH.

    Section 2315(c) of the PREVENT Pandemics Act (42 U.S.C. 6627) is 
amended to read as follows:
    ``(c) Limitations on Countries of Concern Conducting Certain 
Research.--
            ``(1) In general.--The Secretary of Health and Human 
        Services (referred to in this subsection as the `Secretary') 
        shall not fund research that may reasonably be anticipated to 
        involve the creation, transfer, and use of enhanced pathogens 
        of pandemic potential or biological agents or toxins listed 
        pursuant to section 351A(a)(1) of the Public Health Service Act 
        if such research is conducted by a foreign entity at a facility 
        located in a country that is determined to be a country of 
        concern as defined in paragraph (2).
            ``(2) Countries of concern.--
                    ``(A) Definition.--For purposes of this subsection, 
                a `country of concern' means the People's Republic of 
                China, the Democratic People's Republic of Korea, the 
                Russian Federation, the Islamic Republic of Iran, and 
                any other country as determined pursuant to 
                subparagraph (B).
                    ``(B) Additional countries.--The Director of 
                National Intelligence (referred to in this subsection 
                as the `Director') shall, in consultation with the 
                Secretary, add additional countries of concern for 
                purposes of paragraph (1), only if--
                            ``(i) the Director determines that evidence 
                        exists that a country has malicious intent 
                        related to the creation, enhancement, transfer, 
                        or use of pathogens of pandemic potential or 
                        biological agents or toxins listed pursuant to 
                        such section 351A(a)(1); and
                            ``(ii) in a manner that does not compromise 
                        national security, the Director provides such 
                        evidence in a report submitted to the Committee 
                        on Health, Education, Labor, and Pensions of 
                        the Senate and the Committee on Energy and 
                        Commerce of the House of Representatives.
                    ``(C) Limitation.--Paragraph (1) shall not take 
                effect with respect to a country of concern identified 
                under subparagraph (B) until the date that is 15 days 
                after the date on which the Director submits the report 
                described in subparagraph (B)(ii).
            ``(3) Clarification.--
                    ``(A) In general.--The requirement of paragraph (1) 
                may be waived by the President for the duration of the 
                initial response to an outbreak of a novel emerging 
                infectious disease if the President determines that 
                such requirement impedes the ability of the Federal 
                Government to immediately respond to such outbreak.
                    ``(B) Notification.--The President shall notify 
                such committees of Congress not later than 48 hours 
                after exercising the waiver under subparagraph (A), and 
                shall provide updates to such committees related to the 
                use of such waiver every 15 days thereafter.
            ``(4) Sunset.--The limitation under this subsection shall 
        expire on December 31, 2026.''.

          Subtitle C--Addressing the Needs of All Individuals

SEC. 631. IMPROVING ACCESS TO CERTAIN PROGRAMS.

    (a) Procedures Related to the Transition of Certain Claims.--
            (1) Procedures for correcting submissions.--
                    (A) Requests initially submitted under section 
                319f-4.--
                            (i) In general.--In the case of a request 
                        for compensation submitted under section 319F-4 
                        of the Public Health Service Act (42 U.S.C. 
                        247d-6e) for an injury or death related to a 
                        medical product for active immunization to 
                        prevent coronavirus disease 2019 that the 
                        Secretary determines to be ineligible pursuant 
                        to subsection (b)(4)(B) of such section 319F-4, 
                        the Secretary shall, not later than 30 days 
                        after such determination, notify the individual 
                        submitting the request of such determination.
                            (ii) Submission of petition.--An individual 
                        who receives a notification described in clause 
                        (i) shall be eligible to submit a petition to 
                        the United States Court of Federal Claims under 
                        section 2111 of the Public Health Service Act 
                        (42 U.S.C. 300aa-11) with respect to the same 
                        medical product administration claimed in the 
                        request submitted under section 319F-4 of such 
                        Act (42 U.S.C. 247d-6e), provided such petition 
                        is submitted not later than the later of--
                                    (I) 1 year after receiving such 
                                notification under clause (i); or
                                    (II) the last date on which the 
                                individual otherwise would be eligible 
                                to submit a petition relating to such 
                                injury, as specified in section 2116 of 
                                such Act (42 U.S.C. 300aa-16).
                            (iii) Eligibility.--To be eligible to 
                        submit a petition in accordance with clause 
                        (ii), the petitioner shall have submitted the 
                        request that was determined to be ineligible as 
                        described in clause (i) not later than the 
                        applicable deadline for filing a petition under 
                        such section 2116.
                    (B) Requests initially submitted under section 
                2111.--
                            (i) In general.--If a special master 
                        determines that--
                                    (I) a petition submitted under 
                                section 2111 of the Public Health 
                                Service Act (42 U.S.C. 300aa-11) 
                                related to a medical product for active 
                                immunization to prevent coronavirus 
                                disease 2019 that is ineligible for the 
                                program under subtitle 2 of title XXI 
                                of the Public Health Service Act (42 
                                U.S.C. 300aa-10 et seq.) because it 
                                relates to a medical product 
                                administered at a time when the medical 
                                product was not included in the table 
                                under section 2114 of such Act (42 
                                U.S.C. 300aa-14); and
                                    (II) the medical product was 
                                administered when it was a covered 
                                countermeasure subject to a declaration 
                                under section 319F-3(b) of such Act (42 
                                U.S.C. 247d-6d(b)),
                        the special master shall, not later than 30 
                        days after such determination, notify the 
                        petitioner of such determination.
                            (ii) Submission of request.--An individual 
                        who receives a notification described in clause 
                        (i) shall be eligible to submit a request for 
                        compensation under section 319F-4(b) of the 
                        Public Health Service Act (42 U.S.C. 247d-
                        6e(b)) with respect to the same medical product 
                        administration claimed in the petition 
                        submitted under section 2111 of such Act (42 
                        U.S.C. 300aa-11)--
                                    (I) not later than 1 year after 
                                receiving such notification; or
                                    (II) in the case that the 
                                notification is issued after judicial 
                                review of the petition under subsection 
                                (e) or (f) of section 2112 of such Act 
                                (42 U.S.C. 300aa-12), not later than 1 
                                year after the judgment of the United 
                                States Court of Federal Claims or the 
                                mandate is issued by the United States 
                                Court of Appeals for the Federal 
                                Circuit pursuant to such subsection (e) 
                                or (f).
                            (iii) Eligibility.--To be eligible to 
                        submit a request for compensation in accordance 
                        with clause (ii), the individual submitting the 
                        request shall have submitted the petition under 
                        section 2111 of the Public Health Service Act 
                        (42 U.S.C. 300aa-11) that was determined to be 
                        ineligible not later than 1 year after the date 
                        of administration of the medical product.
            (2) Changes to certain programs.--
                    (A) Section 319f-4.--Section 319F-4 of the Public 
                Health Service Act (42 U.S.C. 247d-6e) is amended--
                            (i) in subsection (b)(4)--
                                    (I) by striking ``Except as 
                                provided'' and inserting the following:
                    ``(A) In general.--Except as provided''; and
                                    (II) by adding at the end the 
                                following:
                    ``(B) Exclusion of injuries eligible for petition 
                under title xxi.--Notwithstanding any other provision 
                of this section, no individual may be eligible for 
                compensation under this section with respect to a 
                vaccine that, at the time it was administered, was 
                included in the Vaccine Injury Table under section 
                2114.''; and
                            (ii) in subsection (d)(3)--
                                    (I) by striking ``This section'' 
                                and inserting the following:
                    ``(A) In general.--This section''; and
                                    (II) by adding at the end the 
                                following:
                    ``(B) Exhaustion of remedies.--A covered individual 
                shall not be considered to have exhausted remedies as 
                described in paragraph (1), nor be eligible to seek 
                remedy under section 319F-3(d), unless such individual 
                has provided to the Secretary all supporting 
                documentation necessary to facilitate the 
                determinations required under subsection (b)(4).''.
                    (B) Title xxi.--Title XXI of the Public Health 
                Service Act (42 U.S.C. 300aa-1 et seq.) is amended--
                            (i) in section 2111(a)(2)(A) (42 U.S.C. 
                        300aa-11(a)(2)(A)), in the matter preceding 
                        clause (i), by inserting ``containing the 
                        information required under subsection (c)'' 
                        after ``unless a petition'';
                            (ii) in section 2112(d) (42 U.S.C. 300aa-
                        12(d))--
                                    (I) by adding at the end of 
                                paragraph (1) the following: ``Such 
                                designation shall not occur until the 
                                petitioner has filed all materials 
                                required under section 2111(c).''; and
                                    (II) in paragraph (3)(A)(ii), by 
                                striking ``the petition was filed'' and 
                                inserting ``on which the chief special 
                                master makes the designation pursuant 
                                to paragraph (1)'';
                            (iii) in section 2114(e) (42 U.S.C. 300aa-
                        14(e)), by adding at the end the following:
            ``(4) Licensure requirement.--Notwithstanding paragraphs 
        (2) and (3), the Secretary may not revise the Vaccine Injury 
        Table to include a vaccine for which the Centers for Disease 
        Control and Prevention has issued a recommendation for routine 
        use in children or pregnant women until at least one 
        application for such vaccine has been approved under section 
        351. Upon such revision of the Vaccine Injury Table, all 
        vaccines in a vaccine category on the Vaccine Injury Table, 
        including vaccines authorized under emergency use pursuant to 
        section 564 of the Federal Food, Drug, and Cosmetic Act, shall 
        be considered included in the Vaccine Injury Table.''; and
                            (iv) in section 2116 (42 U.S.C. 300aa-16), 
                        by adding at the end the following:
    ``(d) Clarification.--Notwithstanding subsections (a) and (b), an 
injury or death related to a vaccine administered at a time when the 
vaccine was a covered countermeasure subject to a declaration under 
section 319F-3(b) shall not be eligible for compensation under the 
Program.''.
    (b) Accelerating Injury Compensation Program Administration and 
Ensuring Program Integrity.--
            (1) Petitions for compensation.--Section 2111(a)(2)(A)(i) 
        of the Public Health Service Act (42 U.S.C. 300aa-
        11(a)(2)(A)(i)) is amended--
                    (A) in subclause (I), by striking ``, and'' and 
                inserting a semicolon;
                    (B) in subclause (II)--
                            (i) by moving the margin 2 ems to the 
                        right; and
                            (ii) by striking ``, or'' and inserting ``; 
                        and''; and
                    (C) by adding at the end the following:
                    ``(III) the judgment described in subclause (I) 
                does not result from a petitioner's motion to dismiss 
                the case; or''.
            (2) Determination of good faith.--Section 2115(e)(1) of the 
        Public Health Service Act (42 U.S.C. 300aa-15(e)(1)) is amended 
        by adding at the end the following: ``When making a 
        determination of good faith under this paragraph, the special 
        master or court may consider whether the petitioner 
        demonstrated an intention to obtain compensation on such 
        petition and was not merely seeking to satisfy the exhaustion 
        requirement under section 2121(b).''.
    (c) Extension of Deadlines To Submit Requests for Compensation for 
Certain Injuries.--
            (1) In general.--With respect to claims filed under section 
        319F-4 of the Public Health Service Act (42 U.S.C. 247d-6e) 
        alleging a covered injury caused by the administration or use 
        of a covered countermeasure pursuant to a declaration under 
        section 319F-3(b) of such Act (42 U.S.C. 247d-6d(b)) relating 
        to coronavirus disease 2019, the following shall apply:
                    (A) Notwithstanding the filing deadline applicable 
                under such section 319F-4, the claim shall be filed 
                within 3 years of the administration or use of the 
                covered countermeasure, or 1 year after the date of 
                enactment of this Act, whichever is later, and, if a 
                claim filed under such section 319F-4 with respect to 
                such administration or use was filed before the date of 
                enactment of this Act and denied on the basis of having 
                not been filed within the time period required under 
                subsection (b)(4) of such section 319F-4, such claim 
                may be refiled pursuant to this subparagraph.
                    (B) With respect to a claim relating to the 
                administration of a medical product for active 
                immunization to prevent coronavirus disease 2019 such a 
                claim may be filed under such section 319F-4 only if 
                the administration of such vaccine occurred prior to 
                the addition of the vaccine to the Vaccine Injury Table 
                under section 2114 of the Public Health Service Act (42 
                U.S.C. 300aa-14).

SEC. 632. SUPPORTING AT-RISK INDIVIDUALS DURING EMERGENCY RESPONSES.

    (a) Technical Assistance for At-Risk Individuals and Disasters.--
            (1) In general.--The Secretary of Health and Human Services 
        (referred to in this section as the ``Secretary'') may provide 
        appropriate technical assistance to States, localities, Tribes, 
        and other applicable entities related to addressing the unique 
        needs and considerations of at-risk individuals, as defined in 
        section 2802(b)(4) of the Public Health Service Act (42 U.S.C. 
        300hh-1(b)(4)), in the event of a public health emergency 
        declared by the Secretary pursuant to section 319 of the Public 
        Health Service Act (42 U.S.C. 247d).
            (2) Technical assistance.--The technical assistance 
        described in paragraph (1) shall include--
                    (A) developing, identifying, evaluating, and 
                disseminating evidence-based or evidence-informed 
                strategies to improve health and address other near-
                term or long-term outcomes for at-risk individuals 
                related to public health emergencies, including by 
                addressing such unique needs and considerations in 
                carrying out public health and medical activities to 
                prepare for, respond to, and recover from, such public 
                health emergencies; and
                    (B) assisting applicable entities, through 
                contracts or cooperative agreements, as appropriate, in 
                the implementation of such evidence-based strategies.
            (3) Consultation.--In carrying out activities under 
        paragraph (2), the Secretary shall take into consideration 
        relevant findings and recommendations of, and, as appropriate, 
        consult with, the National Advisory Committee on Individuals 
        with Disabilities and Disasters established under section 2811C 
        of the Public Health Service Act (42 U.S.C. 300hh-10d), the 
        National Advisory Committee on Children and Disasters under 
        section 2811A of such Act (42 U.S.C. 300hh-10b), and the 
        National Advisory Committee on Seniors and Disasters under 
        section 2811B of such Act (42 U.S.C. 300hh-10c).
    (b) Crisis Standards of Care.--Not later than 2 years after the 
date of enactment of this Act, the Secretary, acting through the 
Director of the Office for Civil Rights of the Department of Health and 
Human Services, shall issue guidance to States and localities on the 
development or modification of State and local crisis standards of care 
for use during the response to a public health emergency declared by 
the Governor of a State or by the Secretary under section 319 of the 
Public Health Service Act (42 U.S.C. 247d), or a major disaster or 
emergency declared by the President under section 401 or 501, 
respectively, of the Robert T. Stafford Disaster Relief and Emergency 
Assistance Act (42 U.S.C. 5170, 5191) to ensure that such standards of 
care are consistent with the nondiscrimination requirements of section 
504 of the Rehabilitation Act of 1973 (29 U.S.C. 794), title II of the 
Americans with Disabilities Act of 1990 (42 U.S.C. 12131 et seq.), and 
the Age Discrimination Act of 1975 (42 U.S.C. 6101 et seq.).

SEC. 633. NATIONAL ADVISORY COMMITTEES.

    (a) National Advisory Committee on Children and Disasters.--
Subsection (g) of section 2811A of the Public Health Service Act (42 
U.S.C. 300hh-10b) is amended to read as follows:
    ``(g) Sunset.--
            ``(1) In general.--The Advisory Committee shall terminate 
        on December 31, 2026.
            ``(2) Extension of advisory committee.--Not later than 
        October 1, 2025, the Secretary shall submit to Congress a 
        recommendation on whether the Advisory Committee should be 
        extended beyond the date described in paragraph (1).''.
    (b) National Advisory Committee on Seniors and Disasters.--Section 
2811B of the Public Health Service Act (42 U.S.C. 300hh-10c) is 
amended--
            (1) in subsection (d)--
                    (A) in paragraph (1)--
                            (i) by inserting ``and departments'' after 
                        ``agencies''; and
                            (ii) by striking ``17 members'' and 
                        inserting ``25 members''; and
                    (B) in paragraph (2)--
                            (i) by striking subparagraphs (J) and (K);
                            (ii) by redesignating subparagraphs (A) 
                        through (I) and (L) as clauses (i) through (x), 
                        respectively, and adjusting the margins 
                        accordingly;
                            (iii) by inserting before clause (i), as so 
                        redesignated, the following:
                    ``(B) Federal members.--The Federal members shall 
                include the following:''; and
                            (iv) by inserting before subparagraph (B), 
                        as so designated, the following:
                    ``(A) Non-federal members.--The Secretary in 
                consultation with such other heads of agencies and 
                departments as may be appropriate, shall appoint to the 
                Advisory Committee under paragraph (1) at least 13 
                individuals, including the following:
                            ``(i) At least 3 non-Federal health care 
                        providers with expertise in geriatric medical 
                        disaster planning, preparedness, response, or 
                        recovery.
                            ``(ii) At least 3 representatives of State, 
                        local, territorial, or Tribal agencies with 
                        expertise in geriatric disaster planning, 
                        preparedness, response, or recovery.
                            ``(iii) At least 2 non-Federal 
                        professionals with training in gerontology, 
                        such as social workers, scientists, human 
                        services specialists, or other non-medical 
                        professionals, with experience in disaster 
                        planning, preparedness, response, or recovery 
                        among other adults.''; and
            (2) by amending subsection (g) to read as follows:
    ``(g) Sunset.--The Advisory Committee shall terminate on December 
31, 2026.''.
    (c) National Advisory Committee on Individuals With Disabilities 
and Disasters.--Section 2811C of the Public Health Service Act (42 
U.S.C. 300hh-10d) is amended--
            (1) by redesignating subsections (c) through (g) as 
        subsections (d) through (h), respectively;
            (2) by inserting after subsection (b) the following:
    ``(c) Additional Duties.--The Advisory Committee may provide advice 
and recommendations to the Secretary with respect to individuals with 
disabilities and the medical and public health grants and cooperative 
agreements as applicable to preparedness and response activities under 
this title and title III.'';
            (3) in subsection (d), as so redesignated--
                    (A) in paragraph (1), by striking ``17 members'' 
                and inserting ``25 members'';
                    (B) in paragraph (2)--
                            (i) by striking subparagraphs (K) through 
                        (M);
                            (ii) by redesignating subparagraphs (A) 
                        through (J) as clauses (i) through (x), 
                        respectively, and adjusting the margins 
                        accordingly;
                            (iii) by inserting before clause (i), as so 
                        redesignated, the following:
                    ``(B) Federal members.--The Federal members shall 
                include the following:'';
                            (iv) by adding at the end of subparagraph 
                        (B), as so designated, the following:
                            ``(xi) Representatives of such other 
                        Federal agencies as the Secretary determines 
                        necessary to fulfill the duties of the Advisory 
                        Committee.''; and
                            (v) by inserting before subparagraph (B), 
                        as so designated, the following:
                    ``(A) Non-federal members.--The Secretary in 
                consultation with such other heads of agencies and 
                departments as may be appropriate, shall appoint to the 
                Advisory Committee under paragraph (1) at least 13 
                individuals, including the following:
                            ``(i) At least 4 non-Federal health care 
                        professionals with expertise in disability 
                        accessibility before, during, and after 
                        disasters, medical and mass care disaster 
                        planning, preparedness, response, or recovery.
                            ``(ii) At least 3 representatives of State, 
                        local, Tribal, or territorial agencies with 
                        expertise in disaster planning, preparedness, 
                        response, or recovery for individuals with 
                        disabilities.
                            ``(iii) At least 4 individuals with a 
                        disability with expertise in disaster planning, 
                        preparedness, response, or recovery for 
                        individuals with disabilities.
                            ``(iv) Other members as the Secretary 
                        determines appropriate, of whom--
                                    ``(I) at least one such member 
                                shall represent a local, State, or 
                                national organization with expertise in 
                                individuals with disabilities;
                                    ``(II) at least one such member 
                                shall be an individual with a 
                                disability; and
                                    ``(III) at least one such member 
                                shall be an individual with expertise 
                                in the needs of housing services, 
                                including during the response to, and 
                                recovery from, disasters.''; and
                    (C) by adding at the end the following:
            ``(3) Consideration.--In appointing members, including the 
        Chair, to the Committee under this subsection, the Secretary 
        may give consideration to disability status.''; and
            (4) by amending subsection (h), as so redesignated, to read 
        as follows:
    ``(h) Sunset.--The Advisory Committee shall terminate on December 
31, 2026.''.

SEC. 634. NATIONAL ACADEMIES STUDY ON PRIZES.

    (a) In General.--Not later than 90 days after the date of enactment 
of this Act, the Secretary of Health and Human Services shall seek to 
enter into an agreement with the National Academies of Sciences, 
Engineering, and Medicine (referred to in this section as the 
``National Academies'') to conduct a study to examine--
            (1) alternative models for directly funding, or stimulating 
        investment in, biomedical research and development that delink 
        research and development costs from the prices of drugs, 
        including the progressive replacement of patents and regulatory 
        exclusivities on new drugs with a combination of expanded 
        support for research and innovation prizes to reward the 
        successful development of drugs or achievement of related 
        milestones;
            (2) the dollar amount of innovation prizes for different 
        stages of research and development of different classes or 
        types of drugs, and total annual funding, that would be 
        necessary to stimulate investment sufficient to achieve such 
        successful drug development and related milestones;
            (3) the relative effectiveness and efficiency of such 
        alternative models in stimulating innovation, compared to the 
        status quo that includes patents and regulatory exclusivities;
            (4) strategies to implement such alternative models 
        described in paragraph (1), including a phased transition; and
            (5) the anticipated economic and societal impacts of such 
        alternative models, including an assessment of impact on--
                    (A) the number and variety of new drugs that would 
                be developed, approved, and marketed in the United 
                States, including such new drugs intended to prevent, 
                diagnose, or treat a rare disease or condition;
                    (B) the rate at which new drugs would be developed, 
                approved, and marketed in the United States;
                    (C) access to medication;
                    (D) health outcomes;
                    (E) average lifespan and disease burden in the 
                United States;
                    (F) the number of manufacturers that would be 
                seeking approval for a drug or bringing a drug to 
                market for the first time;
                    (G) Federal discretionary and mandatory spending; 
                and
                    (H) public and private insurance markets.
    (b) Requirements.--In conducting the study pursuant to subsection 
(a), the National Academies shall hold not fewer than 2 public 
listening sessions to solicit feedback from interested parties, 
including representatives of academia, professional societies, patient 
advocates, public health organizations, relevant Federal departments 
and agencies, drug developers, representatives of other relevant 
industries, and subject matter experts.
    (c) Report.--Not later than 2 years after the agreement under 
subsection (a), the National Academies shall submit to the Committee on 
Health, Education, Labor, and Pensions and the Committee on 
Appropriations of the Senate and the Committee on Energy and Commerce 
and the Committee on Appropriations of the House of Representatives a 
report on the study conducted pursuant to subsection (a).

                Subtitle D--Additional Reauthorizations

SEC. 641. MEDICAL COUNTERMEASURE PRIORITY REVIEW VOUCHER.

    Section 565A(g) of the Federal Food, Drug, and Cosmetic Act (21 
U.S.C. 360bbb-4a) is amended by striking ``October 1, 2023'' and 
inserting ``December 31, 2026''.

SEC. 642. EPIDEMIC INTELLIGENCE SERVICE.

    Section 317F(c)(2) of the Public Health Service Act (42 U.S.C. 
247b-7(c)(2)) is amended by striking ``2019 through 2023'' and 
inserting ``2025 and 2026, to remain available through December 31, 
2026''.

SEC. 643. MONITORING AND DISTRIBUTION OF CERTAIN MEDICAL 
              COUNTERMEASURES.

    Section 319A(e) of the Public Health Service Act (42 U.S.C. 247d-
1(e)) is amended by striking ``2019 through 2023'' and inserting ``2025 
and 2026, to remain available through December 31, 2026''.

SEC. 644. REGIONAL HEALTH CARE EMERGENCY PREPAREDNESS AND RESPONSE 
              SYSTEMS.

    Section 319C-3 of the Public Health Service Act (42 U.S.C. 247d-3c) 
is amended--
            (1) in subsection (b)(3), by striking ``under the'' and all 
        that follows through ``such Act)'' and inserting ``under law''; 
        and
            (2) in subsection (e)(2), by striking ``September 30, 
        2023'' and inserting ``December 31, 2026''.

SEC. 645. EMERGENCY SYSTEM FOR ADVANCE REGISTRATION OF VOLUNTEER HEALTH 
              PROFESSIONALS.

            (1) In general.--Section 319I of the Public Health Service 
        Act (42 U.S.C. 247d-7b) is amended--
                    (A) in subsection (a), by striking ``Not later than 
                12 months after the date of enactment of the Pandemic 
                and All-Hazards Preparedness Act, the Secretary shall 
                link existing State verification systems to maintain a 
                single national interoperable network of systems,'' and 
                inserting ``The Secretary shall continue to maintain a 
                single national interoperable network of verification 
                systems,'' and
                    (B) in subsection (k), by striking ``2019 through 
                2023'' and inserting ``2025 and 2026, to remain 
                available through December 31, 2026''.

SEC. 646. ENSURING COLLABORATION AND COORDINATION IN MEDICAL 
              COUNTERMEASURE DEVELOPMENT.

    Section 319L-1(b) of the Public Health Service Act (42 U.S.C. 247d-
7f(b)) is amended by striking ``March 31, 2025'' and inserting 
``December 31, 2026''.

SEC. 647. MILITARY AND CIVILIAN PARTNERSHIP FOR TRAUMA READINESS.

    Section 1291(g) of the Public Health Service Act (42 U.S.C. 300d-
91(g)) is amended by striking ``2019 through 2023'' and inserting 
``2025 and 2026, to remain available through December 31, 2026''.

SEC. 648. NATIONAL DISASTER MEDICAL SYSTEM.

    Section 2812 of the Public Health Service Act (42 U.S.C. 300hh-11) 
is amended--
            (1) in subsection (c)(4)(B), by striking ``March 31, 2025'' 
        and inserting ``December 31, 2026''; and
            (2) in subsection (g), by striking ``$57,400,000 for each 
        of fiscal years 2019 through 2023'' and inserting ``$65,900,000 
        for each of fiscal years 2025 and 2026, to remain available 
        through December 31, 2026''.

SEC. 649. VOLUNTEER MEDICAL RESERVE CORPS.

    Section 2813(i) of the Public Health Service Act (42 U.S.C. 300hh-
15(i)) is amended by striking ``2019 through 2023'' and inserting 
``2025 through 2026, to remain available through December 31, 2026''.

SEC. 650. EPIDEMIOLOGY-LABORATORY CAPACITY.

    Section 2821(b) of the Public Health Service Act (42 U.S.C. 300hh-
31(b)) is amended, in the matter preceding paragraph (1), by striking 
``2019 through 2023'' and inserting ``2025 and 2026, to remain 
available through December 31, 2026''.

                   TITLE VII--PUBLIC HEALTH PROGRAMS

SEC. 701. ACTION FOR DENTAL HEALTH.

    Section 340G(f) of the Public Health Service Act (42 U.S.C. 
256g(f)) is amended by striking ``$13,903,000 for each of fiscal years 
2019 through 2023'' and inserting ``$15,000,000 for each of fiscal 
years 2025 through 2029, to remain available until expended''.

SEC. 702. PREEMIE.

    (a) Research Relating to Preterm Labor and Delivery and the Care, 
Treatment, and Outcomes of Preterm and Low Birthweight Infants.--
            (1) In general.--Section 3(e) of the Prematurity Research 
        Expansion and Education for Mothers who deliver Infants Early 
        Act (42 U.S.C. 247b-4f(e)) is amended by striking ``fiscal 
        years 2019 through 2023'' and inserting ``fiscal years 2025 
        through 2029''.
            (2) Technical correction.--Effective as if included in the 
        enactment of the PREEMIE Reauthorization Act of 2018 (Public 
        Law 115-328), section 2 of such Act is amended, in the matter 
        preceding paragraph (1), by striking ``Section 2'' and 
        inserting ``Section 3''.
    (b) Interagency Working Group.--Section 5(a) of the PREEMIE 
Reauthorization Act of 2018 (Public Law 115-328) is amended by striking 
``The Secretary of Health and Human Services, in collaboration with 
other departments, as appropriate, may establish'' and inserting ``Not 
later than 18 months after the date of the enactment of Lower Costs for 
Everyday Americans Act, the Secretary of Health and Human Services, in 
collaboration with other departments, as appropriate, shall 
establish''.
    (c) Study on Preterm Births.--
            (1) In general.--The Secretary of Health and Human Services 
        shall enter into appropriate arrangements with the National 
        Academies of Sciences, Engineering, and Medicine under which 
        the National Academies shall--
                    (A) not later than 30 days after the date of 
                enactment of this Act, convene a committee of experts 
                in maternal health to study premature births in the 
                United States; and
                    (B) upon completion of the study under subparagraph 
                (A)--
                            (i) approve by consensus a report on the 
                        results of such study;
                            (ii) include in such report--
                                    (I) an assessment of each of the 
                                topics listed in paragraph (2);
                                    (II) the analysis required by 
                                paragraph (3); and
                                    (III) the raw data used to develop 
                                such report; and
                            (iii) not later than 24 months after the 
                        date of enactment of this Act, transmit such 
                        report to--
                                    (I) the Secretary of Health and 
                                Human Services;
                                    (II) the Committee on Energy and 
                                Commerce of the House of 
                                Representatives; and
                                    (III) the Committee on Finance and 
                                the Committee on Health, Education, 
                                Labor, and Pensions of the Senate.
            (2) Assessment topics.--The topics listed in this 
        subsection are each of the following:
                    (A) The financial costs of premature birth to 
                society, including--
                            (i) an analysis of stays in neonatal 
                        intensive care units and the cost of such 
                        stays;
                            (ii) long-term costs of stays in such units 
                        to society and the family involved post-
                        discharge; and
                            (iii) health care costs for families post-
                        discharge from such units (such as medications, 
                        therapeutic services, co-payments for visits, 
                        and specialty equipment).
                    (B) The factors that impact preterm birth rates.
                    (C) Opportunities for earlier detection of 
                premature birth risk factors, including--
                            (i) opportunities to improve maternal and 
                        infant health; and
                            (ii) opportunities for public health 
                        programs to provide support and resources for 
                        parents in-hospital, in non-hospital settings, 
                        and post-discharge.
            (3) Analysis.--The analysis required by this subsection is 
        an analysis of--
                    (A) targeted research strategies to develop 
                effective drugs, treatments, or interventions to bring 
                at-risk pregnancies to term;
                    (B) State and other programs' best practices with 
                respect to reducing premature birth rates; and
                    (C) precision medicine and preventative care 
                approaches starting early in the life course (including 
                during pregnancy) with a focus on behavioral and 
                biological influences on premature birth, child health, 
                and the trajectory of such approaches into adulthood.

SEC. 703. PREVENTING MATERNAL DEATHS.

    (a) Maternal Mortality Review Committee.--Section 317K(d) of the 
Public Health Service Act (42 U.S.C. 247b-12(d)) is amended--
            (1) in paragraph (1)(A), by inserting ``(including 
        obstetricians and gynecologists)'' after ``clinical 
        specialties''; and
            (2) in paragraph (3)(A)(i)--
                    (A) in subclause (I), by striking ``as applicable'' 
                and inserting ``if available''; and
                    (B) in subclause (III), by striking ``, as 
                appropriate'' and inserting ``and coordinating with 
                death certifiers to improve the collection of death 
                record reports and the quality of death records, 
                including by amending cause-of-death information on a 
                death certificate, as appropriate''.
    (b) Best Practices Relating to the Prevention of Maternal 
Mortality.--Section 317K of the Public Health Service Act (42 U.S.C. 
247b-12) is amended--
            (1) by redesignating subsections (e) and (f) as subsections 
        (f) and (g), respectively; and
            (2) by inserting after subsection (d) the following:
    ``(e) Best Practices Relating to the Prevention of Maternal 
Mortality.--
            ``(1) In general.--The Secretary, acting through the 
        Director of the Centers for Disease Control and Prevention, 
        shall, in consultation with the Administrator of the Health 
        Resources and Services Administration, disseminate to 
        hospitals, State professional society groups, and perinatal 
        quality collaboratives, best practices on how to prevent 
        maternal mortality and morbidity that consider and reflect best 
        practices identified through other relevant Federal maternal 
        health programs.
            ``(2) Frequency.--The Secretary, acting through the 
        Director of the Centers for Disease Control and Prevention, 
        shall disseminate the best practices referred to in paragraph 
        (1) not less than once per fiscal year.''.
    (c) Extension.--Subsection (g) of section 317K of the Public Health 
Service Act (42 U.S.C. 247b-12), as redesignated by subsection (b), is 
amended by striking ``$58,000,000 for each of fiscal years 2019 through 
2023'' and inserting ``$100,000,000 for each of fiscal years 2025 
through 2029''.

SEC. 704. SICKLE CELL DISEASE PREVENTION AND TREATMENT.

    (a) In General.--Section 1106(b) of the Public Health Service Act 
(42 U.S.C. 300b-5(b)) is amended--
            (1) in paragraph (1)(A)(iii), by striking ``prevention and 
        treatment of sickle cell disease'' and inserting ``treatment of 
        sickle cell disease and the prevention and treatment of 
        complications of sickle cell disease'';
            (2) in paragraph (2)(D), by striking ``prevention and 
        treatment of sickle cell disease'' and inserting ``treatment of 
        sickle cell disease and the prevention and treatment of 
        complications of sickle cell disease'';
            (3) in paragraph (3)--
                    (A) in subparagraph (A), by striking ``enter into a 
                contract with'' and inserting ``make a grant to, or 
                enter into a contract or cooperative agreement with,''; 
                and
                    (B) in subparagraph (B), in each of clauses (ii) 
                and (iii), by striking ``prevention and treatment of 
                sickle cell disease'' and inserting ``treatment of 
                sickle cell disease and the prevention and treatment of 
                complications of sickle cell disease''; and
            (4) in paragraph (6), by striking ``$4,455,000 for each of 
        fiscal years 2019 through 2023'' and inserting ``$8,205,000 for 
        each of fiscal years 2025 through 2029''.
    (b) Sense of Congress.--It is the sense of Congress that further 
research should be undertaken to expand the understanding of the causes 
of, and to find cures for, heritable blood disorders, including sickle 
cell disease.

SEC. 705. TRAUMATIC BRAIN INJURIES.

    (a) The Bill Pascrell, Jr., National Program for Traumatic Brain 
Injury Surveillance and Registries.--
            (1) Prevention of traumatic brain injury.--Section 393B of 
        the Public Health Service Act (42 U.S.C. 280b-1c) is amended--
                    (A) in subsection (a), by inserting ``and 
                prevalence'' after ``incidence'';
                    (B) in subsection (b)--
                            (i) in paragraph (1), by inserting ``and 
                        reduction of associated injuries and 
                        fatalities'' before the semicolon;
                            (ii) in paragraph (2), by inserting ``and 
                        related risk factors'' before the semicolon; 
                        and
                            (iii) in paragraph (3)--
                                    (I) in the matter preceding 
                                subparagraph (A), by striking ``2020'' 
                                each place it appears and inserting 
                                ``2030''; and
                                    (II) in subparagraph (A)--
                                            (aa) in clause (i), by 
                                        striking ``; and'' and 
                                        inserting a semicolon;
                                            (bb) by redesignating 
                                        clause (ii) as clause (iv);
                                            (cc) by inserting after 
                                        clause (i) the following:
                            ``(ii) populations at higher risk of 
                        traumatic brain injury, including populations 
                        whose increased risk is due to occupational or 
                        circumstantial factors;
                            ``(iii) causes of, and risk factors for, 
                        traumatic brain injury; and''; and
                                            (dd) in clause (iv), as so 
                                        redesignated, by striking 
                                        ``arising from traumatic brain 
                                        injury'' and inserting ``, 
                                        which may include related 
                                        mental health and other 
                                        conditions, arising from 
                                        traumatic brain injury, 
                                        including''; and
                    (C) in subsection (c), by inserting ``, and other 
                relevant Federal departments and agencies'' before the 
                period at the end.
            (2) National program for traumatic brain injury 
        surveillance and registries.--Section 393C of the Public Health 
        Service Act (42 U.S.C. 280b-1d) is amended--
                    (A) by amending the section heading to read as 
                follows: ``the bill pascrell, jr., national program for 
                traumatic brain injury surveillance and registries'';
                    (B) in subsection (a)--
                            (i) in the matter preceding paragraph (1), 
                        by inserting ``to identify populations that may 
                        be at higher risk for traumatic brain injuries, 
                        to collect data on the causes of, and risk 
                        factors for, traumatic brain injuries,'' after 
                        ``related disability,'';
                            (ii) in paragraph (1), by inserting ``, 
                        including the occupation of the individual, 
                        when relevant to the circumstances surrounding 
                        the injury'' before the semicolon; and
                            (iii) in paragraph (4), by inserting 
                        ``short- and long-term'' before ``outcomes'';
                    (C) by striking subsection (b);
                    (D) by redesignating subsection (c) as subsection 
                (b);
                    (E) in subsection (b), as so redesignated, by 
                inserting ``and evidence-based practices to identify 
                and address concussion'' before the period at the end; 
                and
                    (F) by adding at the end the following:
    ``(c) Availability of Information.--The Secretary, acting through 
the Director of the Centers for Disease Control and Prevention, shall 
make publicly available aggregated information on traumatic brain 
injury and concussion described in this section, including on the 
website of the Centers for Disease Control and Prevention. Such 
website, to the extent feasible, shall include aggregated information 
on populations that may be at higher risk for traumatic brain injuries 
and strategies for preventing or reducing risk of traumatic brain 
injury that are tailored to such populations.''.
            (3) Authorization of appropriations.--Section 394A of the 
        Public Health Service Act (42 U.S.C. 280b-3) is amended--
                    (A) in subsection (a), by striking ``1994, and'' 
                and inserting ``1994,''; and
                    (B) in subsection (b), by striking ``2020 through 
                2024'' and inserting ``2025 through 2029''.
    (b) State Grant Programs.--
            (1) State grants for projects regarding traumatic brain 
        injury.--Section 1252 of the Public Health Service Act (42 
        U.S.C. 300d-52) is amended--
                    (A) in subsection (b)(2)--
                            (i) by inserting ``, taking into 
                        consideration populations that may be at higher 
                        risk for traumatic brain injuries'' after 
                        ``outreach programs''; and
                            (ii) by inserting ``Tribal,'' after 
                        ``State,'';
                    (B) in subsection (c), by adding at the end the 
                following:
            ``(3) Maintenance of effort.--With respect to activities 
        for which a grant awarded under subsection (a) is to be 
        expended, a State or American Indian consortium shall agree to 
        maintain expenditures of non-Federal amounts for such 
        activities at a level that is not less than the level of such 
        expenditures maintained by the State or American Indian 
        consortium for the fiscal year preceding the fiscal year for 
        which the State or American Indian consortium receives such a 
        grant.
            ``(4) Waiver.--The Secretary may, upon the request of a 
        State or American Indian consortium, waive not more than 50 
        percent of the matching fund amount under paragraph (1), if the 
        Secretary determines that such matching fund amount would 
        result in an inability of the State or American Indian 
        consortium to carry out the purposes under subsection (a). A 
        waiver provided by the Secretary under this paragraph shall 
        apply only to the fiscal year involved.'';
                    (C) in subsection (e)(3)(B)--
                            (i) by striking ``(such as third party 
                        payers, State agencies, community-based 
                        providers, schools, and educators)''; and
                            (ii) by inserting ``(such as third party 
                        payers, State agencies, community-based 
                        providers, schools, and educators)'' after 
                        ``professionals'';
                    (D) in subsection (h), by striking paragraphs (1) 
                and (2) and inserting the following:
            ``(1) American indian consortium; state.--The terms 
        `American Indian consortium' and `State' have the meanings 
        given such terms in section 1253.
            ``(2) Traumatic brain injury.--
                    ``(A) In general.--Subject to subparagraph (B), the 
                term `traumatic brain injury'--
                            ``(i) means an acquired injury to the 
                        brain;
                            ``(ii) may include--
                                    ``(I) brain injuries caused by 
                                anoxia due to trauma; and
                                    ``(II) damage to the brain from an 
                                internal or external source that 
                                results in infection, toxicity, 
                                surgery, or vascular disorders not 
                                associated with aging; and
                            ``(iii) does not include brain dysfunction 
                        caused by congenital or degenerative disorders, 
                        or birth trauma.
                    ``(B) Revisions to definition.--The Secretary may 
                revise the definition of the term `traumatic brain 
                injury' under this paragraph, as the Secretary 
                determines necessary, after consultation with States 
                and other appropriate public or nonprofit private 
                entities.''; and
                    (E) in subsection (i), by striking ``2020 through 
                2024'' and inserting ``2025 through 2029''.
            (2) State grants for protection and advocacy services.--
        Section 1253(l) of the Public Health Service Act (42 U.S.C. 
        300d-53(l)) is amended by striking ``2020 through 2024'' and 
        inserting ``2025 through 2029''.
    (c) Report to Congress.--Not later than 2 years after the date of 
enactment of this Act, the Secretary of Health and Human Services 
(referred to in this Act as the ``Secretary'') shall submit to the 
Committee on Health, Education, Labor, and Pensions of the Senate and 
the Committee on Energy and Commerce of the House of Representatives a 
report that contains--
            (1) an overview of populations who may be at higher risk 
        for traumatic brain injury, such as individuals affected by 
        domestic violence or sexual assault and public safety officers 
        as defined in section 1204 of the Omnibus Crime Control and 
        Safe Streets Act of 1968 (34 U.S.C. 10284);
            (2) an outline of existing surveys and activities of the 
        Centers for Disease Control and Prevention on traumatic brain 
        injuries and any steps the agency has taken to address gaps in 
        data collection related to such higher risk populations, which 
        may include leveraging surveys such as the National Intimate 
        Partner and Sexual Violence Survey to collect data on traumatic 
        brain injuries;
            (3) an overview of any outreach or education efforts to 
        reach such higher risk populations; and
            (4) any challenges associated with reaching such higher 
        risk populations.
    (d) Study on Long-Term Symptoms or Conditions Related to Traumatic 
Brain Injury.--
            (1) In general.--The Secretary, in consultation with 
        stakeholders and the heads of other relevant Federal 
        departments and agencies, as appropriate, shall conduct, either 
        directly or through a contract with a nonprofit private entity, 
        a study to--
                    (A) examine the incidence and prevalence of long-
                term or chronic symptoms or conditions in individuals 
                who have experienced a traumatic brain injury;
                    (B) examine the evidence base of research related 
                to the chronic effects of traumatic brain injury across 
                the lifespan;
                    (C) examine any correlations between traumatic 
                brain injury and increased risk of other conditions, 
                such as dementia and mental health conditions;
                    (D) assess existing services available for 
                individuals with such long-term or chronic symptoms or 
                conditions; and
                    (E) identify any gaps in research related to such 
                long-term or chronic symptoms or conditions of 
                individuals who have experienced a traumatic brain 
                injury.
            (2) Public report.--Not later than 2 years after the date 
        of enactment of this Act, the Secretary shall--
                    (A) submit to the Committee on Energy and Commerce 
                of the House of Representatives and the Committee on 
                Health, Education, Labor, and Pensions of the Senate a 
                report detailing the findings, conclusions, and 
                recommendations of the study described in paragraph 
                (1); and
                    (B) in the case that such study is conducted 
                directly by the Secretary, make the report described in 
                subparagraph (A) publicly available on the website of 
                the Department of Health and Human Services.

SEC. 706. LIFESPAN RESPITE CARE.

    (a) Definition of Family Caregiver.--Section 2901(5) of the Public 
Health Service Act (42 U.S.C. 300ii(5)) is amended by striking ``unpaid 
adult'' and inserting ``unpaid individual''.
    (b) Funding.--Section 2905 of the Public Health Service Act (42 
U.S.C. 300ii-4) is amended by striking ``fiscal years 2020 through 
fiscal year 2024'' and inserting ``fiscal years 2025 through 2029''.

SEC. 707. DR. LORNA BREEN HEALTH CARE PROVIDER PROTECTION.

    (a) Dissemination of Best Practices.--Section 2 of the Dr. Lorna 
Breen Health Care Provider Protection Act (Public Law 117-105) is 
amended by striking ``2 years'' and inserting ``5 years''.
    (b) Education and Awareness Initiative Encouraging Use of Mental 
Health and Substance Use Disorder Services by Health Care 
Professionals.--Section 3 of the Dr. Lorna Breen Health Care Provider 
Protection Act (Public Law 117-105) is amended--
            (1) in subsection (b), by inserting ``and annually 
        thereafter,'' after ``of this Act,''; and
            (2) in subsection (c), by striking ``2022 through 2024'' 
        and inserting ``2025 through 2029''.
    (c) Programs To Promote Mental Health Among the Health Professional 
Workforce.--The second section 764 of the Public Health Service Act (42 
U.S.C. 294t), as added by section 4 of the Dr. Lorna Breen Health Care 
Provider Protection Act (Public Law 117-105), is amended--
            (1) by redesignating such section 764 as section 764A;
            (2) in subsection (a)(3)--
                    (A) by striking ``to eligible entities in'' and 
                inserting ``to eligible entities that--
                    ``(A) are in'';
                    (B) by striking the period and inserting ``; or''; 
                and
                    (C) by adding at the end the following:
                    ``(B) have a focus on the reduction of 
                administrative burden on health care workers.'';
            (3) in subsection (c), by inserting ``not less than'' after 
        ``period of''; and
            (4) in subsection (f), by striking ``2022 through 2024'' 
        and inserting ``2025 through 2029''.

SEC. 708. CONFORMING AMENDMENT TO INTERNAL REVENUE CODE OF 1986.

    Section 9008(i)(2) of the Internal Revenue Code of 1986 (26 U.S.C. 
9008(i)(2)) is amended by striking ``10-Year''.

SEC. 709. SCREENS FOR CANCER.

    (a) National Breast and Cervical Cancer Early Detection Program.--
Title XV of the Public Health Service Act (42 U.S.C. 300k et seq.) is 
amended--
            (1) in section 1501 (42 U.S.C. 300k)--
                    (A) in subsection (a)--
                            (i) in paragraph (2), by striking ``the 
                        provision of appropriate follow-up services and 
                        support services such as case management'' and 
                        inserting ``that appropriate follow-up services 
                        are provided'';
                            (ii) in paragraph (3), by striking 
                        ``programs for the detection and control'' and 
                        inserting ``for the prevention, detection, and 
                        control'';
                            (iii) in paragraph (4), by striking ``the 
                        detection and control'' and inserting ``the 
                        prevention, detection, and control'';
                            (iv) in paragraph (5)--
                                    (I) by striking ``monitor'' and 
                                inserting ``ensure''; and
                                    (II) by striking ``; and'' and 
                                inserting a semicolon;
                            (v) by redesignating paragraph (6) as 
                        paragraph (9);
                            (vi) by inserting after paragraph (5) the 
                        following:
            ``(6) to enhance appropriate support activities to increase 
        breast and cervical cancer screenings, such as navigation of 
        health care services, implementation of evidence-based or 
        evidence-informed strategies to increase breast and cervical 
        cancer screening in health care settings, and facilitation of 
        access to health care settings;
            ``(7) to reduce disparities in breast and cervical cancer 
        incidence, morbidity, and mortality, including in populations 
        with higher than average rates;
            ``(8) to improve access to breast and cervical cancer 
        screening and diagnostic services and reduce related barriers, 
        including factors that relate to negative health outcomes; 
        and''; and
                            (vii) in paragraph (9), as so redesignated, 
                        by striking ``through (5)'' and inserting 
                        ``through (8)''; and
                    (B) by striking subsection (d);
            (2) in section 1503 (42 U.S.C. 300m)--
                    (A) in subsection (a)--
                            (i) in paragraph (1), by striking ``that, 
                        initially'' and all that follows through the 
                        semicolon and inserting ``that appropriate 
                        breast and cervical cancer screening and 
                        diagnostic services are provided consistent 
                        with relevant evidence-based recommendations; 
                        and'';
                            (ii) by striking paragraphs (2) and (4);
                            (iii) by redesignating paragraph (3) as 
                        paragraph (2); and
                            (iv) in paragraph (2), as so redesignated, 
                        by striking ``; and'' and inserting a period; 
                        and
                    (B) by striking subsection (d);
            (3) in section 1508(b) (42 U.S.C. 300n-4(b))--
                    (A) by striking ``1 year after the date of the 
                enactment of the National Breast and Cervical Cancer 
                Early Detection Program Reauthorization of 2007, and 
                annually thereafter,'' and inserting ``2 years after 
                the date of enactment of the Health Improvements, 
                Extenders, and Reauthorizations Act, and every 5 years 
                thereafter,'';
                    (B) by striking ``Labor and Human Resources'' and 
                inserting ``Health, Education, Labor, and Pensions''; 
                and
                    (C) by striking ``preceding fiscal year'' and 
                inserting ``preceding 2 fiscal years in the case of the 
                first report after the date of enactment of the Health 
                Improvements, Extenders, and Reauthorizations Act and 
                preceding 5 fiscal years for each report thereafter''; 
                and
            (4) in section 1510(a) (42 U.S.C. 300n-5(a))--
                    (A) by striking ``2011, and'' and inserting 
                ``2011,''; and
                    (B) by inserting ``, and $235,500,000 for each of 
                fiscal years 2025 through 2029'' before the period at 
                the end before the period at the end.
    (b) GAO Study.--Not later than September 30, 2027, the Comptroller 
General of the United States shall report to the Committee on Health, 
Education, Labor, and Pensions of the Senate and the Committee on 
Energy and Commerce of the House of Representatives on the work of the 
National Breast and Cervical Cancer Early Detection Program, 
including--
            (1) an estimate of the number of individuals eligible for 
        services provided under such program;
            (2) a summary of trends in the number of individuals served 
        through such program; and
            (3) an assessment of any factors that may be driving the 
        trends identified under paragraph (2), including any barriers 
        to accessing breast and cervical cancer screenings provided by 
        such program.

SEC. 710. DEONDRA DIXON INCLUDE PROJECT.

    Part B of title IV of the Public Health Service Act (42 U.S.C. 284 
et seq.) is amended by adding at the end the following:

``SEC. 409K. DOWN SYNDROME RESEARCH.

    ``(a) In General.--The Director of NIH shall carry out a program of 
research, training, and investigation related to Down syndrome to be 
known as the `INvestigation of Co-occurring conditions across the 
Lifespan to Understand Down syndromE Project' or the `INCLUDE Project'.
    ``(b) Program Elements.--The program under subsection (a) shall 
include--
            ``(1) high-risk, high reward research on the effects of 
        trisomy 21 on human development and health;
            ``(2) promoting research for participants with Down 
        syndrome across the lifespan, including cohort studies to 
        facilitate improved understanding of Down syndrome and co-
        occurring conditions and development of new interventions;
            ``(3) expanding the number of clinical trials that are 
        inclusive of, or expressly for, participants with Down 
        syndrome, including novel biomedical and pharmacological 
        interventions and other therapies designed to promote or 
        enhance activities of daily living;
            ``(4) research on the biological mechanisms in individuals 
        with Down syndrome pertaining to structural, functional, and 
        behavioral anomalies and dysfunction as well as stunted growth;
            ``(5) supporting research to improve diagnosis and 
        treatment of conditions co-occurring with Down syndrome, 
        including the identification of biomarkers related to risk 
        factors, diagnosis, and clinical research and therapeutics;
            ``(6) research on the causes of increased prevalence, and 
        concurrent treatment, of co-occurring conditions, such as 
        Alzheimer's disease and related dementias and autoimmunity, in 
        individuals with Down syndrome; and
            ``(7) research, training, and investigation on improving 
        the quality of life of individuals with Down syndrome and their 
        families.
    ``(c) Coordination; Prioritizing Nonduplicative Research.--The 
Director of NIH shall ensure that--
            ``(1) the programs and activities of the institutes and 
        centers of the National Institutes of Health relating to Down 
        syndrome and co-occurring conditions are coordinated, including 
        through the Office of the Director of NIH and priority-setting 
        reviews conducted pursuant to section 402(b)(3); and
            ``(2) such institutes and centers, prioritize, as 
        appropriate, Down syndrome research that does not duplicate 
        existing research activities of the National Institutes of 
        Health.
    ``(d) Consultation With Stakeholders.--In carrying out activities 
under this section, the Director of NIH shall, as appropriate and to 
the maximum extent feasible, consult with relevant stakeholders, 
including patient advocates, to ensure that such activities take into 
consideration the needs of individuals with Down syndrome.
    ``(e) Biennial Reports to Congress.--
            ``(1) In general.--The Director of NIH shall submit, on a 
        biennial basis, to the Committee on Energy and Commerce and the 
        Subcommittee on Labor, Health and Human Services, Education, 
        and Related Agencies of the Committee on Appropriations of the 
        House of Representatives and the Committee on Health, 
        Education, Labor, and Pensions and the Subcommittee on Labor, 
        Health and Human Services, Education, and Related Agencies of 
        the Committee on Appropriations of the Senate, a report that 
        catalogs the research conducted or supported under this 
        section.
            ``(2) Contents.--Each report under paragraph (1) shall 
        include--
                    ``(A) identification of the institute or center 
                involved;
                    ``(B) a statement of whether the research is or was 
                being carried out directly by such institute or center 
                or by multiple institutes and centers; and
                    ``(C) identification of any resulting real-world 
                evidence that is or may be used for clinical research 
                and medical care for patients with Down syndrome.''.

SEC. 711. IMPROVE INITIATIVE.

    Part B of title IV of the Public Health Service Act (42 U.S.C. 284 
et seq.), as amended by section 710, is further amended by adding at 
the end the following:

``SEC. 409L. IMPROVE INITIATIVE.

    ``(a) In General.--The Director of the National Institutes of 
Health shall carry out a program of research to improve health outcomes 
to be known as the Implementing a Maternal health and PRegnancy 
Outcomes Vision for Everyone Initiative (referred to in this section as 
the `Initiative').
    ``(b) Objectives.--The Initiative shall--
            ``(1) advance research to--
                    ``(A) reduce preventable causes of maternal 
                mortality and severe maternal morbidity;
                    ``(B) reduce health disparities related to maternal 
                health outcomes, including such disparities associated 
                with medically underserved populations; and
                    ``(C) improve health for pregnant and postpartum 
                women before, during, and after pregnancy;
            ``(2) use an integrated approach to understand the factors, 
        including biological, behavioral, and other factors, that 
        affect maternal mortality and severe maternal morbidity by 
        building an evidence base for improved outcomes in specific 
        regions of the United States; and
            ``(3) target health disparities associated with maternal 
        mortality and severe maternal morbidity by--
                    ``(A) implementing and evaluating community-based 
                interventions for disproportionately affected women; 
                and
                    ``(B) identifying risk factors and the underlying 
                biological mechanisms associated with leading causes of 
                maternal mortality and severe maternal morbidity in the 
                United States.
    ``(c) Sunset.--The authority under this section shall expire on 
September 30, 2029.''.

SEC. 712. ORGAN PROCUREMENT AND TRANSPLANTATION NETWORK.

    Section 372 of the Public Health Service Act (42 U.S.C. 274) is 
amended--
            (1) in subsection (b)(2)--
                    (A) by moving the margins of subparagraphs (M) 
                through (O) 2 ems to the left;
                    (B) in subparagraph (A)--
                            (i) in clause (i), by striking ``, and'' 
                        and inserting ``; and''; and
                            (ii) in clause (ii), by striking the comma 
                        at the end and inserting a semicolon;
                    (C) in subparagraph (C), by striking ``twenty-four-
                hour telephone service'' and inserting ``24-hour 
                telephone or information technology service'';
                    (D) in each of subparagraphs (B) through (M), by 
                striking the comma at the end and inserting a 
                semicolon;
                    (E) in subparagraph (N), by striking 
                ``transportation, and'' and inserting 
                ``transportation;'';
                    (F) in subparagraph (O), by striking the period and 
                inserting a semicolon; and
                    (G) by adding at the end the following:
                    ``(P) encourage the integration of electronic 
                health records systems through application programming 
                interfaces (or successor technologies) among hospitals, 
                organ procurement organizations, and transplant 
                centers, including the use of automated electronic 
                hospital referrals and the grant of remote, electronic 
                access to hospital electronic health records of 
                potential donors by organ procurement organizations, in 
                a manner that complies with the privacy regulations 
                promulgated under the Health Insurance Portability and 
                Accountability Act of 1996, at part 160 of title 45, 
                Code of Federal Regulations, and subparts A, C, and E 
                of part 164 of such title (or any successor 
                regulations); and
                    ``(Q) consider establishing a dashboard to display 
                the number of transplants performed, the types of 
                transplants performed, the number and types of organs 
                that entered the Organ Procurement and Transplantation 
                Network system and failed to be transplanted, and other 
                appropriate statistics, which should be updated more 
                frequently than annually.''; and
            (2) by adding at the end the following:
    ``(d) Registration Fees.--
            ``(1) In general.--The Secretary may collect registration 
        fees from any member of the Organ Procurement and 
        Transplantation Network for each transplant candidate such 
        member places on the list described in subsection (b)(2)(A)(i). 
        Such registration fees shall be collected and distributed only 
        to support the operation of the Organ Procurement and 
        Transplantation Network. Such registration fees are authorized 
        to remain available until expended.
            ``(2) Collection.--The Secretary may collect the 
        registration fees under paragraph (1) directly or through 
        awards made under subsection (b)(1)(A).
            ``(3) Distribution.--Any amounts collected under this 
        subsection shall--
                    ``(A) be credited to the currently applicable 
                appropriation, account, or fund of the Department of 
                Health and Human Services as discretionary offsetting 
                collections; and
                    ``(B) be available, only to the extent and in the 
                amounts provided in advance in appropriations Acts, to 
                distribute such fees among awardees described in 
                subsection (b)(1)(A).
            ``(4) Transparency.--The Secretary shall--
                    ``(A) promptly post on the website of the Organ 
                Procurement and Transplantation Network--
                            ``(i) the amount of registration fees 
                        collected under this subsection from each 
                        member of the Organ Procurement and 
                        Transplantation Network; and
                            ``(ii) a list of activities such fees are 
                        used to support; and
                    ``(B) update the information posted pursuant to 
                subparagraph (A), as applicable for each calendar 
                quarter for which fees are collected under paragraph 
                (1).
            ``(5) GAO review.--Not later than 2 years after the date of 
        enactment of this subsection, the Comptroller General of the 
        United States shall, to the extent data are available--
                    ``(A) conduct a review concerning the activities 
                under this subsection; and
                    ``(B) submit to the Committee on Health, Education, 
                Labor, and Pensions and the Committee on Finance of the 
                Senate and the Committee on Energy and Commerce of the 
                House of Representatives, a report on such review, 
                including related recommendations, as applicable.
            ``(6) Sunset.--The authority to collect registration fees 
        under paragraph (1) shall expire on the date that is 3 years 
        after the date of enactment of the Health Improvements, 
        Extenders, and Reauthorizations Act.''.

SEC. 713. HONOR OUR LIVING DONORS.

    (a) No Consideration of Income of Organ Recipient.--Section 377 of 
the Public Health Service Act (42 U.S.C. 274f) is amended--
            (1) by redesignating subsections (c) through (f) as 
        subsections (d) through (g), respectively;
            (2) by inserting after subsection (b) the following:
    ``(c) No Consideration of Income of Organ Recipient.--The recipient 
of a grant under this section, in providing reimbursement to a donating 
individual through such grant, shall not give any consideration to the 
income of the organ recipient.''; and
            (3) in subsection (f), as so redesignated--
                    (A) in paragraph (1), by striking ``subsection 
                (c)(1)'' and inserting ``subsection (d)(1)''; and
                    (B) in paragraph (2), by striking ``subsection 
                (c)(2)'' and inserting ``subsection (d)(2)''.
    (b) Removal of Expectation of Payments by Organ Recipients.--
Section 377(e) of the Public Health Service Act (42 U.S.C. 274f(e)), as 
redesignated by section 2(1), is amended--
            (1) in paragraph (1), by adding ``or'' at the end;
            (2) in paragraph (2), by striking ``; or'' and inserting a 
        period; and
            (3) by striking paragraph (3).
    (c) Annual Report.--Section 377 of the Public Health Service Act 
(42 U.S.C. 274f), as amended by sections 2 and 3, is amended by adding 
at the end the following:
    ``(h) Annual Report.--Not later than December 31 of each year, 
beginning in Fiscal Year 2026, the Secretary shall--
            ``(1) prepare, submit to the Congress, and make public a 
        report on whether grants under this section provided adequate 
        funding during the preceding fiscal year to reimburse all 
        donating individuals participating in the grant program under 
        this section for all qualifying expenses; and
            ``(2) include in each such report--
                    ``(A) the estimated number of all donating 
                individuals participating in the grant program under 
                this section who did not receive reimbursement for all 
                qualifying expenses during the preceding fiscal year; 
                and
                    ``(B) the total amount of funding that is estimated 
                to be necessary to fully reimburse all donating 
                individuals participating in the grant program under 
                this section for all qualifying expenses.''.

SEC. 714. PROGRAM FOR PEDIATRIC STUDIES OF DRUGS.

    Section 409I(d)(1) of the Public Health Service Act (42 U.S.C. 
284m(d)(1)) is amended by striking ``section,'' and all that follows 
through the period at the end and inserting ``section, $25,000,000 for 
each of fiscal years 2025 through 2027.''.

                TITLE VIII--FOOD AND DRUG ADMINISTRATION

                     Subtitle A--Give Kids a Chance

SEC. 801. RESEARCH INTO PEDIATRIC USES OF DRUGS; ADDITIONAL AUTHORITIES 
              OF FOOD AND DRUG ADMINISTRATION REGARDING MOLECULARLY 
              TARGETED CANCER DRUGS.

    (a) In General.--
            (1) Additional active ingredient for application drug; 
        limitation regarding novel-combination application drug.--
        Section 505B(a)(3) of the Federal Food, Drug, and Cosmetic Act 
        (21 U.S.C. 355c(a)(3)) is amended--
                    (A) by redesignating subparagraphs (B) and (C) as 
                subparagraphs (C) and (D), respectively; and
                    (B) by striking subparagraph (A) and inserting the 
                following:
                    ``(A) In general.--For purposes of paragraph 
                (1)(B), the investigation described in this paragraph 
                is a molecularly targeted pediatric cancer 
                investigation of--
                            ``(i) the drug or biological product for 
                        which the application referred to in such 
                        paragraph is submitted; or
                            ``(ii) such drug or biological product used 
                        in combination with--
                                    ``(I) an active ingredient of a 
                                drug or biological product--
                                            ``(aa) for which an 
                                        approved application under 
                                        section 505(j) under this Act 
                                        or under section 351(k) of the 
                                        Public Health Service Act is in 
                                        effect; and
                                            ``(bb) that is determined 
                                        by the Secretary, after 
                                        consultation with the 
                                        applicant, to be part of the 
                                        standard of care for treating a 
                                        pediatric cancer; or
                                    ``(II) an active ingredient of a 
                                drug or biological product--
                                            ``(aa) for which an 
                                        approved application under 
                                        section 505(b) of this Act or 
                                        section 351(a) of the Public 
                                        Health Service Act to treat an 
                                        adult cancer is in effect and 
                                        is held by the same person 
                                        submitting the application 
                                        under paragraph (1)(B); and
                                            ``(bb) that is directed at 
                                        a molecular target that the 
                                        Secretary determines to be 
                                        substantially relevant to the 
                                        growth or progression of a 
                                        pediatric cancer.
                    ``(B) Additional requirements.--
                            ``(i) Design of investigation.--A 
                        molecularly targeted pediatric cancer 
                        investigation referred to in subparagraph (A) 
                        shall be designed to yield clinically 
                        meaningful pediatric study data that is 
                        gathered using appropriate formulations for 
                        each age group for which the study is required, 
                        regarding dosing, safety, and preliminary 
                        efficacy to inform potential pediatric 
                        labeling.
                            ``(ii) Limitation.--An investigation 
                        described in subparagraph (A)(ii) may be 
                        required only if the drug or biological product 
                        for which the application referred to in 
                        paragraph (1)(B) contains either--
                                    ``(I) a single new active 
                                ingredient; or
                                    ``(II) more than one active 
                                ingredient, if an application for the 
                                combination of active ingredients has 
                                not previously been approved but each 
                                active ingredient is in a drug product 
                                that has been previously approved to 
                                treat an adult cancer.
                            ``(iii) Results of already-completed 
                        preclinical studies of application drug.--With 
                        respect to an investigation required pursuant 
                        to paragraph (1)(B), the Secretary may require 
                        the results of any completed preclinical 
                        studies relevant to the initial pediatric study 
                        plan be submitted to the Secretary at the same 
                        time that the initial pediatric study plan 
                        required under subsection (e)(1) is submitted.
                            ``(iv) Rule of construction regarding 
                        inactive ingredients.--With respect to a 
                        combination of active ingredients referred to 
                        in subparagraph (A)(ii), such subparagraph 
                        shall not be construed as addressing the use of 
                        inactive ingredients with such combination.''.
            (2) Determination of applicable requirements.--Section 
        505B(e)(1) of the Federal Food, Drug, and Cosmetic Act (21 
        U.S.C. 355c(e)(1)) is amended by adding at the end the 
        following: ``The Secretary shall determine whether subparagraph 
        (A) or (B) of subsection (a)(1) applies with respect to an 
        application before the date on which the applicant is required 
        to submit the initial pediatric study plan under paragraph 
        (2)(A).''.
            (3) Clarifying applicability.--Section 505B(a)(1) of the 
        Federal Food, Drug, and Cosmetic Act (21 U.S.C. 355c(a)(1)) is 
        amended by adding at the end the following:
                    ``(C) Rule of construction.--No application that is 
                subject to the requirements of subparagraph (B) shall 
                be subject to the requirements of subparagraph (A), and 
                no application (or supplement to an application) that 
                is subject to the requirements of subparagraph (A) 
                shall be subject to the requirements of subparagraph 
                (B).''.
            (4) Conforming amendments.--Section 505B(a) of the Federal 
        Food, Drug, and Cosmetic Act (21 U.S.C. 355c(a)) is amended--
                    (A) in paragraph (3)(C), as redesignated by 
                paragraph (1)(A) of this subsection, by striking 
                ``investigations described in this paragraph'' and 
                inserting ``investigations referred to in subparagraph 
                (A)''; and
                    (B) in paragraph (3)(D), as redesignated by 
                paragraph (1)(A) of this subsection, by striking ``the 
                assessments under paragraph (2)(B)'' and inserting 
                ``the assessments required under paragraph (1)(A)''.
    (b) Guidance.--The Secretary of Health and Human Services, acting 
through the Commissioner of Food and Drugs, shall--
            (1) not later than 12 months after the date of enactment of 
        this Act, issue draft guidance on the implementation of the 
        amendments made by subsection (a); and
            (2) not later than 12 months after closing the comment 
        period on such draft guidance, finalize such guidance.
    (c) Applicability.--The amendments made by this section apply with 
respect to any application under section 505(b) of the Federal Food, 
Drug, and Cosmetic Act (21 U.S.C. 355(b)) and any application under 
section 351(a) of the Public Health Service Act (42 U.S.C. 262(a)), 
that is submitted on or after the date that is 3 years after the date 
of enactment of this Act.
    (d) Reports to Congress.--
            (1) Secretary of health and human services.--Not later than 
        6 years after the date of enactment of this Act, the Secretary 
        of Health and Human Services shall submit to the Committee on 
        Energy and Commerce of the House of Representatives and the 
        Committee on Health, Education, Labor, and Pensions of the 
        Senate a report on the Secretary's efforts, in coordination 
        with industry, to ensure implementation of the amendments made 
        by subsection (a).
            (2) GAO study and report.--
                    (A) Study.--Not later than 8 years after the date 
                of enactment of this Act, the Comptroller General of 
                the United States shall conduct a study of the 
                effectiveness of requiring assessments and 
                investigations described in section 505B of the Federal 
                Food, Drug, and Cosmetic Act (21 U.S.C.355c), as 
                amended by subsection (a), in the development of drugs 
                and biological products for pediatric cancer 
                indications, including consideration of any benefits 
                to, or burdens on, pediatric cancer drug development.
                    (B) Findings.--Not later than 10 years after the 
                date of enactment of this Act, the Comptroller General 
                shall submit to the Committee on Energy and Commerce of 
                the House of Representatives and the Committee on 
                Health, Education, Labor, and Pensions of the Senate a 
                report containing the findings of the study conducted 
                under subparagraph (A).

SEC. 802. ENSURING COMPLETION OF PEDIATRIC STUDY REQUIREMENTS.

    (a) Equal Accountability for Pediatric Study Requirements.--Section 
505B(d) of the Federal Food, Drug, and Cosmetic Act (21 U.S.C. 355c(d)) 
is amended--
            (1) in paragraph (1), by striking ``Beginning 270'' and 
        inserting ``Noncompliance letter.--Beginning 270'';
            (2) in paragraph (2)--
                    (A) by striking ``The drug or'' and inserting 
                ``Effect of noncompliance.--The drug or''; and
                    (B) by striking ``(except that the drug or 
                biological product shall not be subject to action under 
                section 303)'' and inserting ``(except that the drug or 
                biological product shall be subject to action under 
                section 303 only if such person demonstrated a lack of 
                due diligence in satisfying the applicable 
                requirement)''; and
            (3) by adding at the end the following:
            ``(3) Limitation.--The Secretary shall not issue 
        enforcement actions under section 303 for failures under this 
        subsection in the case of a drug or biological product that is 
        no longer marketed.''.
    (b) Due Diligence.--Section 505B(d) of the Federal Food, Drug, and 
Cosmetic Act (21 U.S.C. 355c(d)), as amended by subsection (a), is 
further amended by adding at the end the following:
            ``(4) Due diligence.--Before the Secretary may conclude 
        that a person failed to submit or otherwise meet a requirement 
        as described in the matter preceding paragraph (1), the 
        Secretary shall--
                    ``(A) issue a noncompliance letter pursuant to 
                paragraph (1);
                    ``(B) provide such person with a 45-day period 
                beginning on the date of receipt of such noncompliance 
                letter to respond in writing as set forth in such 
                paragraph; and
                    ``(C) after reviewing such written response, 
                determine whether the person demonstrated a lack of due 
                diligence in satisfying such requirement.''.
    (c) Conforming Amendments.--Section 303(f)(4)(A) of the Federal 
Food, Drug, and Cosmetic Act (21 U.S.C. 333(f)(4)(A)) is amended by 
striking ``or 505-1'' and inserting ``505-1, or 505B''.
    (d) Transition Rule.--The Secretary of Health and Human Services 
may take enforcement action under section 303 of the Federal Food, 
Drug, and Cosmetic Act (21 U.S.C. 333) only for failures described in 
section 505B(d) of such Act (21 U.S.C. 355c(d)) that occur on or after 
the date that is 180 days after the date of enactment of this Act.

SEC. 803. FDA REPORT ON PREA ENFORCEMENT.

    Section 508(b) of the Food and Drug Administration Safety and 
Innovation Act (21 U.S.C. 355c-1(b)) is amended--
            (1) in paragraph (11), by striking the semicolon at the end 
        and inserting ``, including an evaluation of compliance with 
        deadlines provided for in deferrals and deferral extensions;'';
            (2) in paragraph (15), by striking ``and'' at the end;
            (3) in paragraph (16), by striking the period at the end 
        and inserting ``; and''; and
            (4) by adding at the end the following:
            ``(17) a listing of penalties, settlements, or payments 
        under section 303 of the Federal Food, Drug, and Cosmetic Act 
        (21 U.S.C. 353) for failure to comply with requirements under 
        such section 505B, including, for each penalty, settlement, or 
        payment, the name of the drug, the sponsor thereof, and the 
        amount of the penalty, settlement, or payment imposed; and''.

SEC. 804. EXTENSION OF AUTHORITY TO ISSUE PRIORITY REVIEW VOUCHERS TO 
              ENCOURAGE TREATMENTS FOR RARE PEDIATRIC DISEASES.

    (a) Extension.--Paragraph (5) of section 529(b) of the Federal 
Food, Drug, and Cosmetic Act (21 U.S.C. 360ff(b)) is amended by 
striking ``December 20, 2024, unless'' and all that follows through the 
period at the end and inserting ``September 30, 2029.''.
    (b) User Fee Payment.--Section 529(c)(4) of the Federal Food, Drug, 
and Cosmetic Act (21 U.S.C. 360ff(c)(4)) is amended by striking 
subparagraph (A) and inserting the following:
                    ``(A) In general.--The priority review user fee 
                required by this subsection shall be due upon the 
                submission of a human drug application under section 
                505(b)(1) or section 351(a) of the Public Health 
                Service Act for which the priority review voucher is 
                used. All other user fees associated with the human 
                drug application shall be due as required by the 
                Secretary or under applicable law.''.
    (c) GAO Report on Effectiveness of Rare Pediatric Disease Priority 
Voucher Awards in Incentivizing Rare Pediatric Disease Drug 
Development.--
            (1) GAO study.--
                    (A) Study.--The Comptroller General of the United 
                States shall conduct a study of the effectiveness of 
                awarding rare pediatric disease priority vouchers under 
                section 529 of the Federal Food, Drug, and Cosmetic Act 
                (21 U.S.C. 360ff), as amended by subsection (a), in the 
                development of human drug products that treat or 
                prevent rare pediatric diseases (as defined in such 
                section 529).
                    (B) Contents of study.--In conducting the study 
                under subparagraph (A), the Comptroller General shall 
                examine the following:
                            (i) The indications for each drug or 
                        biological product that--
                                    (I) is the subject of a rare 
                                pediatric disease product application 
                                (as defined in section 529 of the 
                                Federal Food, Drug, and Cosmetic Act 
                                (21 U.S.C. 360ff)) for which a priority 
                                review voucher was awarded; and
                                    (II) was approved under section 505 
                                of the Federal Food, Drug, and Cosmetic 
                                Act (42 U.S.C. 355) or licensed under 
                                section 351 of the Public Health 
                                Service Act (42 U.S.C. 262).
                            (ii) Whether, and to what extent, an unmet 
                        need related to the treatment or prevention of 
                        a rare pediatric disease was met through the 
                        approval or licensure of such a drug or 
                        biological product.
                            (iii) The size of the company to which a 
                        priority review voucher was awarded under 
                        section 529 of the Federal Food, Drug, and 
                        Cosmetic Act (21 U.S.C. 360ff) for such a drug 
                        or biological product.
                            (iv) The value of such priority review 
                        voucher if transferred.
                            (v) Identification of each drug for which a 
                        priority review voucher awarded under such 
                        section 529 was used.
                            (vi) The size of the company using each 
                        priority review voucher awarded under such 
                        section 529.
                            (vii) The length of the period of time 
                        between the date on which a priority review 
                        voucher was awarded under such section 529 and 
                        the date on which it was used.
                            (viii) Whether, and to what extent, an 
                        unmet need related to the treatment or 
                        prevention of a rare pediatric disease was met 
                        through the approval under section 505 of the 
                        Federal Food, Drug, and Cosmetic Act (42 U.S.C. 
                        355) or licensure under section 351 of the 
                        Public Health Service Act (42 U.S.C. 262) of a 
                        drug for which a priority review voucher was 
                        used.
                            (ix) Whether, and to what extent, companies 
                        were motivated by the availability of priority 
                        review vouchers under section 529 of the 
                        Federal Food, Drug, and Cosmetic Act (21 U.S.C. 
                        360ff) to attempt to develop a drug for a rare 
                        pediatric disease.
                            (x) Whether, and to what extent, pediatric 
                        review vouchers awarded under such section were 
                        successful in stimulating development and 
                        expedited patient access to drug products for 
                        treatment or prevention of a rare pediatric 
                        disease that wouldn't otherwise take place 
                        without the incentive provided by such 
                        vouchers.
                            (xi) The impact of such priority review 
                        vouchers on the workload, review process, and 
                        public health prioritization efforts of the 
                        Food and Drug Administration.
                            (xii) Any other incentives in Federal law 
                        that exist for companies developing drugs or 
                        biological products described in clause (i).
            (2) Report on findings.--Not later than 5 years after the 
        date of the enactment of this Act, the Comptroller General of 
        the United States shall submit to the Committee on Energy and 
        Commerce of the House of Representatives and the Committee on 
        Health, Education, Labor, and Pensions of the Senate a report 
        containing the findings of the study conducted under paragraph 
        (1).

SEC. 805. LIMITATIONS ON EXCLUSIVE APPROVAL OR LICENSURE OF ORPHAN 
              DRUGS.

    (a) In General.--Section 527 of the Federal Food, Drug, and 
Cosmetic Act (21 U.S.C. 360cc) is amended--
            (1) in subsection (a), in the matter following paragraph 
        (2), by striking ``same disease or condition'' and inserting 
        ``same approved use or indication within such rare disease or 
        condition'';
            (2) in subsection (b)--
                    (A) in the matter preceding paragraph (1), by 
                striking ``same rare disease or condition'' and 
                inserting ``same approved use or indication for which 
                such 7-year period applies to such already approved or 
                licensed drug''; and
                    (B) in paragraph (1), by inserting ``, relating to 
                the approved use or indication,'' after ``the needs'';
            (3) in subsection (c)(1), by striking ``same rare disease 
        or condition as the already approved drug'' and inserting 
        ``same use or indication for which the already approved or 
        licensed drug was approved or licensed''; and
            (4) by adding at the end the following:
    ``(f) Approved Use or Indication Defined.--In this section, the 
term `approved use or indication' means the use or indication approved 
under section 505 of this Act or licensed under section 351 of the 
Public Health Service Act for a drug designated under section 526 for a 
rare disease or condition.''.
    (b) Application of Amendments.--The amendments made by subsection 
(a) shall apply with respect to any drug designated under section 526 
of the Federal Food, Drug, and Cosmetic Act (21 U.S.C. 360bb), 
regardless of the date on which the drug was so designated, and 
regardless of the date on which the drug was approved under section 505 
of such Act (21 U.S.C. 355) or licensed under section 351 of the Public 
Health Service Act (42 U.S.C. 262).

   Subtitle B--United States-Abraham Accords Cooperation and Security

SEC. 811. ESTABLISHMENT OF ABRAHAM ACCORDS OFFICE WITHIN FOOD AND DRUG 
              ADMINISTRATION.

    (a) In General.--Chapter X of the Federal Food, Drug, and Cosmetic 
Act (21 U.S.C. 391 et seq.) is amended by adding at the end the 
following:

``SEC. 1015. ABRAHAM ACCORDS OFFICE.

    ``(a) In General.--The Secretary, acting through the Commissioner 
of Food and Drugs, shall establish within the Food and Drug 
Administration an office, to be known as the Abraham Accords Office, to 
be headed by a director.
    ``(b) Office.--Not later than 2 years after the date of enactment 
of this section, the Secretary shall--
            ``(1) in consultation with the governments of Abraham 
        Accords countries, as well as appropriate United States 
        Government diplomatic and security personnel--
                    ``(A) select the location of the Abraham Accords 
                Office in an Abraham Accords country; and
                    ``(B) establish such office; and
            ``(2) assign to such office such personnel of the Food and 
        Drug Administration as the Secretary determines necessary to 
        carry out the functions of such office.
    ``(c) Duties.--The Secretary, acting through the Director of the 
Abraham Accords Office, shall--
            ``(1) after the Abraham Accords Office is established--
                    ``(A) as part of the Food and Drug Administration's 
                work to strengthen the international oversight of 
                regulated commodities, provide technical assistance to 
                regulatory partners in Abraham Accords countries on 
                strengthening regulatory oversight and converging 
                regulatory requirements for the oversight of regulated 
                products, including good manufacturing practices and 
                other issues relevant to manufacturing medical products 
                that are regulated by the Food and Drug Administration; 
                and
                    ``(B) facilitate interactions between the Food and 
                Drug Administration and interested parties in Abraham 
                Accords countries, including by sharing relevant 
                information regarding United States regulatory pathways 
                with such parties, and facilitate feedback on the 
                research, development, and manufacturing of products 
                regulated in accordance with this Act; and
            ``(2) carry out other functions and activities as the 
        Secretary determines to be necessary to carry out this section.
    ``(d) Abraham Accords Country Defined.--In this section, the term 
`Abraham Accords country' means a country identified by the Department 
of State as having signed the Abraham Accords Declaration.
    ``(e) National Security.--Nothing in this section shall be 
construed to require any action inconsistent with a national security 
recommendation provided by the Federal Government.''.
    (b) Report to Congress.--
            (1) In general.--Not later than 3 years after the date of 
        enactment of this Act, the Secretary of Health and Human 
        Services shall submit to the Congress a report on the Abraham 
        Accords Office, including--
                    (A) an evaluation of how the Office has advanced 
                progress toward conformance with Food and Drug 
                Administration regulatory requirements by manufacturers 
                in the Abraham Accords countries;
                    (B) a numerical count of parties that the Office 
                has helped facilitate interactions or feedback pursuant 
                to section 1015(c)(1)(B) of the Federal Food, Drug, and 
                Cosmetic Act (as added by subsection (a));
                    (C) a summary of technical assistance provided to 
                regulatory partners in Abraham Accords countries 
                pursuant to subparagraph (A) of such section 
                1015(c)(1); and
                    (D) recommendations for increasing and improving 
                coordination between the Food and Drug Administration 
                and entities in Abraham Accords countries.
            (2) Abraham accords country defined.--In this subsection, 
        the term ``Abraham Accords country'' has the meaning given such 
        term in section 1015(d) of the Federal Food, Drug, and Cosmetic 
        Act (as added by subsection (a)).

               TITLE IX--LOWERING PRESCRIPTION DRUG COSTS

SEC. 901. OVERSIGHT OF PHARMACY BENEFIT MANAGEMENT SERVICES.

    (a) Public Health Service Act.--Title XXVII of the Public Health 
Service Act (42 U.S.C. 300gg et seq.) is amended--
            (1) in part D (42 U.S.C. 300gg-111 et seq.), by adding at 
        the end the following new section:

``SEC. 2799A-11. OVERSIGHT OF ENTITIES THAT PROVIDE PHARMACY BENEFIT 
              MANAGEMENT SERVICES.

    ``(a) In General.--For plan years beginning on or after the date 
that is 30 months after the date of enactment of this section (referred 
to in this subsection and subsection (b) as the `effective date'), a 
group health plan or a health insurance issuer offering group health 
insurance coverage, or an entity providing pharmacy benefit management 
services on behalf of such a plan or issuer, shall not enter into a 
contract, including an extension or renewal of a contract, entered into 
on or after the effective date, with an applicable entity unless such 
applicable entity agrees to--
            ``(1) not limit or delay the disclosure of information to 
        the group health plan (including such a plan offered through a 
        health insurance issuer) in such a manner that prevents an 
        entity providing pharmacy benefit management services on behalf 
        of a group health plan or health insurance issuer offering 
        group health insurance coverage from making the reports 
        described in subsection (b); and
            ``(2) provide the entity providing pharmacy benefit 
        management services on behalf of a group health plan or health 
        insurance issuer relevant information necessary to make the 
        reports described in subsection (b).
    ``(b) Reports.--
            ``(1) In general.--For plan years beginning on or after the 
        effective date, in the case of any contract between a group 
        health plan or a health insurance issuer offering group health 
        insurance coverage offered in connection with such a plan and 
        an entity providing pharmacy benefit management services on 
        behalf of such plan or issuer, including an extension or 
        renewal of such a contract, entered into on or after the 
        effective date, the entity providing pharmacy benefit 
        management services on behalf of such a group health plan or 
        health insurance issuer, not less frequently than every 6 
        months (or, at the request of a group health plan, not less 
        frequently than quarterly, and under the same conditions, 
        terms, and cost of the semiannual report under this 
        subsection), shall submit to the group health plan a report in 
        accordance with this section. Each such report shall be made 
        available to such group health plan in plain language, in a 
        machine-readable format, and as the Secretary may determine, 
        other formats. Each such report shall include the information 
        described in paragraph (2).
            ``(2) Information described.--For purposes of paragraph 
        (1), the information described in this paragraph is, with 
        respect to drugs covered by a group health plan or group health 
        insurance coverage offered by a health insurance issuer in 
        connection with a group health plan during each reporting 
        period--
                    ``(A) in the case of a group health plan that is 
                offered by a specified large employer or that is a 
                specified large plan, and is not offered as health 
                insurance coverage, or in the case of health insurance 
                coverage for which the election under paragraph (3) is 
                made for the applicable reporting period--
                            ``(i) a list of drugs for which a claim was 
                        filed and, with respect to each such drug on 
                        such list--
                                    ``(I) the contracted compensation 
                                paid by the group health plan or health 
                                insurance issuer for each covered drug 
                                (identified by the National Drug Code) 
                                to the entity providing pharmacy 
                                benefit management services or other 
                                applicable entity on behalf of the 
                                group health plan or health insurance 
                                issuer;
                                    ``(II) the contracted compensation 
                                paid to the pharmacy, by any entity 
                                providing pharmacy benefit management 
                                services or other applicable entity on 
                                behalf of the group health plan or 
                                health insurance issuer, for each 
                                covered drug (identified by the 
                                National Drug Code);
                                    ``(III) for each such claim, the 
                                difference between the amount paid 
                                under subclause (I) and the amount paid 
                                under subclause (II);
                                    ``(IV) the proprietary name, 
                                established name or proper name, and 
                                the National Drug Code;
                                    ``(V) for each claim for the drug 
                                (including original prescriptions and 
                                refills) and for each dosage unit of 
                                the drug for which a claim was filed, 
                                the type of dispensing channel used to 
                                furnish the drug, including retail, 
                                mail order, or specialty pharmacy;
                                    ``(VI) with respect to each drug 
                                dispensed, for each type of dispensing 
                                channel (including retail, mail order, 
                                or specialty pharmacy)--
                                            ``(aa) whether such drug is 
                                        a brand name drug or a generic 
                                        drug, and--

                                                    ``(AA) in the case 
                                                of a brand name drug, 
                                                the wholesale 
                                                acquisition cost, 
                                                listed as cost per days 
                                                supply and cost per 
                                                dosage unit, on the 
                                                date such drug was 
                                                dispensed; and

                                                    ``(BB) in the case 
                                                of a generic drug, the 
                                                average wholesale 
                                                price, listed as cost 
                                                per days supply and 
                                                cost per dosage unit, 
                                                on the date such drug 
                                                was dispensed; and

                                            ``(bb) the total number 
                                        of--

                                                    ``(AA) prescription 
                                                claims (including 
                                                original prescriptions 
                                                and refills);

                                                    ``(BB) participants 
                                                and beneficiaries for 
                                                whom a claim for such 
                                                drug was filed through 
                                                the applicable 
                                                dispensing channel;

                                                    ``(CC) dosage units 
                                                and dosage units per 
                                                fill of such drug; and

                                                    ``(DD) days supply 
                                                of such drug per fill;

                                    ``(VII) the net price per course of 
                                treatment or single fill, such as a 30-
                                day supply or 90-day supply to the plan 
                                or coverage after rebates, fees, 
                                alternative discounts, or other 
                                remuneration received from applicable 
                                entities;
                                    ``(VIII) the total amount of out-
                                of-pocket spending by participants and 
                                beneficiaries on such drug, including 
                                spending through copayments, 
                                coinsurance, and deductibles, but not 
                                including any amounts spent by 
                                participants and beneficiaries on drugs 
                                not covered under the plan or coverage, 
                                or for which no claim is submitted 
                                under the plan or coverage;
                                    ``(IX) the total net spending on 
                                the drug;
                                    ``(X) the total amount received, or 
                                expected to be received, by the plan or 
                                issuer from any applicable entity in 
                                rebates, fees, alternative discounts, 
                                or other remuneration;
                                    ``(XI) the total amount received, 
                                or expected to be received, by the 
                                entity providing pharmacy benefit 
                                management services, from applicable 
                                entities, in rebates, fees, alternative 
                                discounts, or other remuneration from 
                                such entities--
                                            ``(aa) for claims incurred 
                                        during the reporting period; 
                                        and
                                            ``(bb) that is related to 
                                        utilization of such drug or 
                                        spending on such drug; and
                                    ``(XII) to the extent feasible, 
                                information on the total amount of 
                                remuneration for such drug, including 
                                copayment assistance dollars paid, 
                                copayment cards applied, or other 
                                discounts provided by each drug 
                                manufacturer (or entity administering 
                                copayment assistance on behalf of such 
                                drug manufacturer), to the participants 
                                and beneficiaries enrolled in such plan 
                                or coverage;
                            ``(ii) a list of each therapeutic class (as 
                        defined by the Secretary) for which a claim was 
                        filed under the group health plan or health 
                        insurance coverage during the reporting period, 
                        and, with respect to each such therapeutic 
                        class--
                                    ``(I) the total gross spending on 
                                drugs in such class before rebates, 
                                price concessions, alternative 
                                discounts, or other remuneration from 
                                applicable entities;
                                    ``(II) the net spending in such 
                                class after such rebates, price 
                                concessions, alternative discounts, or 
                                other remuneration from applicable 
                                entities;
                                    ``(III) the total amount received, 
                                or expected to be received, by the 
                                entity providing pharmacy benefit 
                                management services, from applicable 
                                entities, in rebates, fees, alternative 
                                discounts, or other remuneration from 
                                such entities--
                                            ``(aa) for claims incurred 
                                        during the reporting period; 
                                        and
                                            ``(bb) that is related to 
                                        utilization of drugs or drug 
                                        spending;
                                    ``(IV) the average net spending per 
                                30-day supply and per 90-day supply by 
                                the plan or by the issuer with respect 
                                to such coverage and its participants 
                                and beneficiaries, among all drugs 
                                within the therapeutic class for which 
                                a claim was filed during the reporting 
                                period;
                                    ``(V) the number of participants 
                                and beneficiaries who filled a 
                                prescription for a drug in such class, 
                                including the National Drug Code for 
                                each such drug;
                                    ``(VI) if applicable, a description 
                                of the formulary tiers and utilization 
                                mechanisms (such as prior authorization 
                                or step therapy) employed for drugs in 
                                that class; and
                                    ``(VII) the total out-of-pocket 
                                spending under the plan or coverage by 
                                participants and beneficiaries, 
                                including spending through copayments, 
                                coinsurance, and deductibles, but not 
                                including any amounts spent by 
                                participants and beneficiaries on drugs 
                                not covered under the plan or coverage 
                                or for which no claim is submitted 
                                under the plan or coverage;
                            ``(iii) with respect to any drug for which 
                        gross spending under the group health plan or 
                        health insurance coverage exceeded $10,000 
                        during the reporting period or, in the case 
                        that gross spending under the group health plan 
                        or coverage exceeded $10,000 during the 
                        reporting period with respect to fewer than 50 
                        drugs, with respect to the 50 prescription 
                        drugs with the highest spending during the 
                        reporting period--
                                    ``(I) a list of all other drugs in 
                                the same therapeutic class as such 
                                drug;
                                    ``(II) if applicable, the rationale 
                                for the formulary placement of such 
                                drug in that therapeutic category or 
                                class, selected from a list of standard 
                                rationales established by the 
                                Secretary, in consultation with 
                                stakeholders; and
                                    ``(III) any change in formulary 
                                placement compared to the prior plan 
                                year; and
                            ``(iv) in the case that such plan or issuer 
                        (or an entity providing pharmacy benefit 
                        management services on behalf of such plan or 
                        issuer) has an affiliated pharmacy or pharmacy 
                        under common ownership, including mandatory 
                        mail and specialty home delivery programs, 
                        retail and mail auto-refill programs, and cost 
                        sharing assistance incentives funded by an 
                        entity providing pharmacy benefit services--
                                    ``(I) an explanation of any benefit 
                                design parameters that encourage or 
                                require participants and beneficiaries 
                                in the plan or coverage to fill 
                                prescriptions at mail order, specialty, 
                                or retail pharmacies;
                                    ``(II) the percentage of total 
                                prescriptions dispensed by such 
                                pharmacies to participants or 
                                beneficiaries in such plan or coverage; 
                                and
                                    ``(III) a list of all drugs 
                                dispensed by such pharmacies to 
                                participants or beneficiaries enrolled 
                                in such plan or coverage, and, with 
                                respect to each drug dispensed--
                                            ``(aa) the amount charged, 
                                        per dosage unit, per 30-day 
                                        supply, or per 90-day supply 
                                        (as applicable) to the plan or 
                                        issuer, and to participants and 
                                        beneficiaries;
                                            ``(bb) the median amount 
                                        charged to such plan or issuer, 
                                        and the interquartile range of 
                                        the costs, per dosage unit, per 
                                        30-day supply, and per 90-day 
                                        supply, including amounts paid 
                                        by the participants and 
                                        beneficiaries, when the same 
                                        drug is dispensed by other 
                                        pharmacies that are not 
                                        affiliated with or under common 
                                        ownership with the entity and 
                                        that are included in the 
                                        pharmacy network of such plan 
                                        or coverage;
                                            ``(cc) the lowest cost per 
                                        dosage unit, per 30-day supply 
                                        and per 90-day supply, for each 
                                        such drug, including amounts 
                                        charged to the plan or coverage 
                                        and to participants and 
                                        beneficiaries, that is 
                                        available from any pharmacy 
                                        included in the network of such 
                                        plan or coverage; and
                                            ``(dd) the net acquisition 
                                        cost per dosage unit, per 30-
                                        day supply, and per 90-day 
                                        supply, if such drug is subject 
                                        to a maximum price discount; 
                                        and
                    ``(B) with respect to any group health plan, 
                including group health insurance coverage offered in 
                connection with such a plan, regardless of whether the 
                plan or coverage is offered by a specified large 
                employer or whether it is a specified large plan--
                            ``(i) a summary document for the group 
                        health plan that includes such information 
                        described in clauses (i) through (iv) of 
                        subparagraph (A), as specified by the Secretary 
                        through guidance, program instruction, or 
                        otherwise (with no requirement of notice and 
                        comment rulemaking), that the Secretary 
                        determines useful to group health plans for 
                        purposes of selecting pharmacy benefit 
                        management services, such as an estimated net 
                        price to group health plan and participant or 
                        beneficiary, a cost per claim, the fee 
                        structure or reimbursement model, and estimated 
                        cost per participant or beneficiary;
                            ``(ii) a summary document for plans and 
                        issuers to provide to participants and 
                        beneficiaries, which shall be made available to 
                        participants or beneficiaries upon request to 
                        their group health plan (including in the case 
                        of group health insurance coverage offered in 
                        connection with such a plan), that--
                                    ``(I) contains such information 
                                described in clauses (iii), (iv), (v), 
                                and (vi), as applicable, as specified 
                                by the Secretary through guidance, 
                                program instruction, or otherwise (with 
                                no requirement of notice and comment 
                                rulemaking) that the Secretary 
                                determines useful to participants or 
                                beneficiaries in better understanding 
                                the plan or coverage or benefits under 
                                such plan or coverage;
                                    ``(II) contains only aggregate 
                                information; and
                                    ``(III) states that participants 
                                and beneficiaries may request specific, 
                                claims-level information required to be 
                                furnished under subsection (c) from the 
                                group health plan or health insurance 
                                issuer; and
                            ``(iii) with respect to drugs covered by 
                        such plan or coverage during such reporting 
                        period--
                                    ``(I) the total net spending by the 
                                plan or coverage for all such drugs;
                                    ``(II) the total amount received, 
                                or expected to be received, by the plan 
                                or issuer from any applicable entity in 
                                rebates, fees, alternative discounts, 
                                or other remuneration; and
                                    ``(III) to the extent feasible, 
                                information on the total amount of 
                                remuneration for such drugs, including 
                                copayment assistance dollars paid, 
                                copayment cards applied, or other 
                                discounts provided by each drug 
                                manufacturer (or entity administering 
                                copayment assistance on behalf of such 
                                drug manufacturer) to participants and 
                                beneficiaries;
                            ``(iv) amounts paid directly or indirectly 
                        in rebates, fees, or any other type of 
                        compensation (as defined in section 
                        408(b)(2)(B)(ii)(dd)(AA) of the Employee 
                        Retirement Income Security Act) to brokerage 
                        firms, brokers, consultants, advisors, or any 
                        other individual or firm, for--
                                    ``(I) the referral of the group 
                                health plan's or health insurance 
                                issuer's business to an entity 
                                providing pharmacy benefit management 
                                services, including the identity of the 
                                recipient of such amounts;
                                    ``(II) consideration of the entity 
                                providing pharmacy benefit management 
                                services by the group health plan or 
                                health insurance issuer; or
                                    ``(III) the retention of the entity 
                                by the group health plan or health 
                                insurance issuer;
                            ``(v) an explanation of any benefit design 
                        parameters that encourage or require 
                        participants and beneficiaries in such plan or 
                        coverage to fill prescriptions at mail order, 
                        specialty, or retail pharmacies that are 
                        affiliated with or under common ownership with 
                        the entity providing pharmacy benefit 
                        management services under such plan or 
                        coverage, including mandatory mail and 
                        specialty home delivery programs, retail and 
                        mail auto-refill programs, and cost-sharing 
                        assistance incentives directly or indirectly 
                        funded by such entity; and
                            ``(vi) total gross spending on all drugs 
                        under the plan or coverage during the reporting 
                        period.
            ``(3) Opt-in for group health insurance coverage offered by 
        a specified large employer or that is a specified large plan.--
        In the case of group health insurance coverage offered in 
        connection with a group health plan that is offered by a 
        specified large employer or is a specified large plan, such 
        group health plan may, on an annual basis, for plan years 
        beginning on or after the date that is 30 months after the date 
        of enactment of this section, elect to require an entity 
        providing pharmacy benefit management services on behalf of the 
        health insurance issuer to submit to such group health plan a 
        report that includes all of the information described in 
        paragraph (2)(A), in addition to the information described in 
        paragraph (2)(B).
            ``(4) Privacy requirements.--
                    ``(A) In general.--An entity providing pharmacy 
                benefit management services on behalf of a group health 
                plan or a health insurance issuer offering group health 
                insurance coverage shall report information under 
                paragraph (1) in a manner consistent with the privacy 
                regulations promulgated under section 13402(a) of the 
                Health Information Technology for Economic and Clinical 
                Health Act and consistent with the privacy regulations 
                promulgated under the Health Insurance Portability and 
                Accountability Act of 1996 in part 160 and subparts A 
                and E of part 164 of title 45, Code of Federal 
                Regulations (or successor regulations) (referred to in 
                this paragraph as the `HIPAA privacy regulations') and 
                shall restrict the use and disclosure of such 
                information according to such privacy regulations and 
                such HIPAA privacy regulations.
                    ``(B) Additional requirements.--
                            ``(i) In general.--An entity providing 
                        pharmacy benefit management services on behalf 
                        of a group health plan or health insurance 
                        issuer offering group health insurance coverage 
                        that submits a report under paragraph (1) shall 
                        ensure that such report contains only summary 
                        health information, as defined in section 
                        164.504(a) of title 45, Code of Federal 
                        Regulations (or successor regulations).
                            ``(ii) Restrictions.--In carrying out this 
                        subsection, a group health plan shall comply 
                        with section 164.504(f) of title 45, Code of 
                        Federal Regulations (or a successor 
                        regulation), and a plan sponsor shall act in 
                        accordance with the terms of the agreement 
                        described in such section.
                    ``(C) Rule of construction.--
                            ``(i) Nothing in this section shall be 
                        construed to modify the requirements for the 
                        creation, receipt, maintenance, or transmission 
                        of protected health information under the HIPAA 
                        privacy regulations.
                            ``(ii) Nothing in this section shall be 
                        construed to affect the application of any 
                        Federal or State privacy or civil rights law, 
                        including the HIPAA privacy regulations, the 
                        Genetic Information Nondiscrimination Act of 
                        2008 (Public Law 110-233) (including the 
                        amendments made by such Act), the Americans 
                        with Disabilities Act of 1990 (42 U.S.C. 12101 
                        et seq.), section 504 of the Rehabilitation Act 
                        of 1973 (29 U.S.C. 794), section 1557 of the 
                        Patient Protection and Affordable Care Act (42 
                        U.S.C. 18116), title VI of the Civil Rights Act 
                        of 1964 (42 U.S.C. 2000d), and title VII of the 
                        Civil Rights Act of 1964 (42 U.S.C. 2000e).
                    ``(D) Written notice.--Each plan year, group health 
                plans, including with respect to group health insurance 
                coverage offered in connection with a group health 
                plan, shall provide to each participant or beneficiary 
                written notice informing the participant or beneficiary 
                of the requirement for entities providing pharmacy 
                benefit management services on behalf of the group 
                health plan or health insurance issuer offering group 
                health insurance coverage to submit reports to group 
                health plans under paragraph (1), as applicable, which 
                may include incorporating such notification in plan 
                documents provided to the participant or beneficiary, 
                or providing individual notification.
                    ``(E) Limitation to business associates.--A group 
                health plan receiving a report under paragraph (1) may 
                disclose such information only to the entity from which 
                the report was received or to that entity's business 
                associates as defined in section 160.103 of title 45, 
                Code of Federal Regulations (or successor regulations) 
                or as permitted by the HIPAA privacy regulations.
                    ``(F) Clarification regarding public disclosure of 
                information.--Nothing in this section shall prevent an 
                entity providing pharmacy benefit management services 
                on behalf of a group health plan or health insurance 
                issuer offering group health insurance coverage, from 
                placing reasonable restrictions on the public 
                disclosure of the information contained in a report 
                described in paragraph (1), except that such plan, 
                issuer, or entity may not--
                            ``(i) restrict disclosure of such report to 
                        the Department of Health and Human Services, 
                        the Department of Labor, or the Department of 
                        the Treasury; or
                            ``(ii) prevent disclosure for the purposes 
                        of subsection (c), or any other public 
                        disclosure requirement under this section.
                    ``(G) Limited form of report.--The Secretary shall 
                define through rulemaking a limited form of the report 
                under paragraph (1) required with respect to any group 
                health plan established by a plan sponsor that is, or 
                is affiliated with, a drug manufacturer, drug 
                wholesaler, or other direct participant in the drug 
                supply chain, in order to prevent anti-competitive 
                behavior.
            ``(5) Standard format and regulations.--
                    ``(A) In general.--Not later than 18 months after 
                the date of enactment of this section, the Secretary 
                shall specify through rulemaking a standard format for 
                entities providing pharmacy benefit management services 
                on behalf of group health plans and health insurance 
                issuers offering group health insurance coverage, to 
                submit reports required under paragraph (1).
                    ``(B) Additional regulations.--Not later than 18 
                months after the date of enactment of this section, the 
                Secretary shall, through rulemaking, promulgate any 
                other final regulations necessary to implement the 
                requirements of this section. In promulgating such 
                regulations, the Secretary shall, to the extent 
                practicable, align the reporting requirements under 
                this section with the reporting requirements under 
                section 2799A-10.
    ``(c) Requirement To Provide Information to Participants or 
Beneficiaries.--A group health plan, including with respect to group 
health insurance coverage offered in connection with a group health 
plan, upon request of a participant or beneficiary, shall provide to 
such participant or beneficiary--
            ``(1) the summary document described in subsection 
        (b)(2)(B)(ii); and
            ``(2) the information described in subsection 
        (b)(2)(A)(i)(III) with respect to a claim made by or on behalf 
        of such participant or beneficiary.
    ``(d) Enforcement.--
            ``(1) In general.--The Secretary shall enforce this 
        section. The enforcement authority under this subsection shall 
        apply only with respect to group health plans (including group 
        health insurance coverage offered in connection with such a 
        plan) to which the requirements of subparts I and II of part A 
        and part D apply in accordance with section 2722, and with 
        respect to entities providing pharmacy benefit management 
        services on behalf of such plans and applicable entities 
        providing services on behalf of such plans.
            ``(2) Failure to provide information.--A group health plan, 
        a health insurance issuer offering group health insurance 
        coverage, an entity providing pharmacy benefit management 
        services on behalf of such a plan or issuer, or an applicable 
        entity providing services on behalf of such a plan or issuer 
        that violates subsection (a); an entity providing pharmacy 
        benefit management services on behalf of such a plan or issuer 
        that fails to provide the information required under subsection 
        (b); or a group health plan that fails to provide the 
        information required under subsection (c), shall be subject to 
        a civil monetary penalty in the amount of $10,000 for each day 
        during which such violation continues or such information is 
        not disclosed or reported.
            ``(3) False information.--A health insurance issuer, an 
        entity providing pharmacy benefit management services, or a 
        third party administrator providing services on behalf of such 
        issuer offered by a health insurance issuer that knowingly 
        provides false information under this section shall be subject 
        to a civil monetary penalty in an amount not to exceed $100,000 
        for each item of false information. Such civil monetary penalty 
        shall be in addition to other penalties as may be prescribed by 
        law.
            ``(4) Procedure.--The provisions of section 1128A of the 
        Social Security Act, other than subsections (a) and (b) and the 
        first sentence of subsection (c)(1) of such section shall apply 
        to civil monetary penalties under this subsection in the same 
        manner as such provisions apply to a penalty or proceeding 
        under such section.
            ``(5) Waivers.--The Secretary may waive penalties under 
        paragraph (2), or extend the period of time for compliance with 
        a requirement of this section, for an entity in violation of 
        this section that has made a good-faith effort to comply with 
        the requirements in this section.
    ``(e) Rule of Construction.--Nothing in this section shall be 
construed to permit a health insurance issuer, group health plan, 
entity providing pharmacy benefit management services on behalf of a 
group health plan or health insurance issuer, or other entity to 
restrict disclosure to, or otherwise limit the access of, the Secretary 
to a report described in subsection (b)(1) or information related to 
compliance with subsections (a), (b), (c), or (d) by such issuer, plan, 
or entity.
    ``(f) Definitions.--In this section:
            ``(1) Applicable entity.--The term `applicable entity' 
        means--
                    ``(A) an applicable group purchasing organization, 
                drug manufacturer, distributor, wholesaler, rebate 
                aggregator (or other purchasing entity designed to 
                aggregate rebates), or associated third party;
                    ``(B) any subsidiary, parent, affiliate, or 
                subcontractor of a group health plan, health insurance 
                issuer, entity that provides pharmacy benefit 
                management services on behalf of such a plan or issuer, 
                or any entity described in subparagraph (A); or
                    ``(C) such other entity as the Secretary may 
                specify through rulemaking.
            ``(2) Applicable group purchasing organization.--The term 
        `applicable group purchasing organization' means a group 
        purchasing organization that is affiliated with or under common 
        ownership with an entity providing pharmacy benefit management 
        services.
            ``(3) Contracted compensation.--The term `contracted 
        compensation' means the sum of any ingredient cost and 
        dispensing fee for a drug (inclusive of the out-of-pocket costs 
        to the participant or beneficiary), or another analogous 
        compensation structure that the Secretary may specify through 
        regulations.
            ``(4) Gross spending.--The term `gross spending', with 
        respect to prescription drug benefits under a group health plan 
        or health insurance coverage, means the amount spent by a group 
        health plan or health insurance issuer on prescription drug 
        benefits, calculated before the application of rebates, fees, 
        alternative discounts, or other remuneration.
            ``(5) Net spending.--The term `net spending', with respect 
        to prescription drug benefits under a group health plan or 
        health insurance coverage, means the amount spent by a group 
        health plan or health insurance issuer on prescription drug 
        benefits, calculated after the application of rebates, fees, 
        alternative discounts, or other remuneration.
            ``(6) Plan sponsor.--The term `plan sponsor' has the 
        meaning given such term in section 3(16)(B) of the Employee 
        Retirement Income Security Act of 1974.
            ``(7) Remuneration.--The term `remuneration' has the 
        meaning given such term by the Secretary through rulemaking, 
        which shall be reevaluated by the Secretary every 5 years.
            ``(8) Specified large employer.--The term `specified large 
        employer' means, in connection with a group health plan 
        (including group health insurance coverage offered in 
        connection with such a plan) established or maintained by a 
        single employer, with respect to a calendar year or a plan 
        year, as applicable, an employer who employed an average of at 
        least 100 employees on business days during the preceding 
        calendar year or plan year and who employs at least 1 employee 
        on the first day of the calendar year or plan year.
            ``(9) Specified large plan.--The term `specified large 
        plan' means a group health plan (including group health 
        insurance coverage offered in connection with such a plan) 
        established or maintained by a plan sponsor described in clause 
        (ii) or (iii) of section 3(16)(B) of the Employee Retirement 
        Income Security Act of 1974 that had an average of at least 100 
        participants on business days during the preceding calendar 
        year or plan year, as applicable.
            ``(10) Wholesale acquisition cost.--The term `wholesale 
        acquisition cost' has the meaning given such term in section 
        1847A(c)(6)(B) of the Social Security Act.''; and
            (2) in section 2723 (42 U.S.C. 300gg-22)--
                    (A) in subsection (a)--
                            (i) in paragraph (1), by inserting ``(other 
                        than section 2799A-11)'' after ``part D''; and
                            (ii) in paragraph (2), by inserting 
                        ``(other than section 2799A-11)'' after ``part 
                        D''; and
                    (B) in subsection (b)--
                            (i) in paragraph (1), by inserting ``(other 
                        than section 2799A-11)'' after ``part D'';
                            (ii) in paragraph (2)(A), by inserting 
                        ``(other than section 2799A-11)'' after ``part 
                        D''; and
                            (iii) in paragraph (2)(C)(ii), by inserting 
                        ``(other than section 2799A-11)'' after ``part 
                        D''.
    (b) Employee Retirement Income Security Act of 1974.--
            (1) In general.--Subtitle B of title I of the Employee 
        Retirement Income Security Act of 1974 (29 U.S.C. 1021 et seq.) 
        is amended--
                    (A) in subpart B of part 7 (29 U.S.C. 1185 et 
                seq.), by adding at the end the following:

``SEC. 726. OVERSIGHT OF ENTITIES THAT PROVIDE PHARMACY BENEFIT 
              MANAGEMENT SERVICES.

    ``(a) In General.--For plan years beginning on or after the date 
that is 30 months after the date of enactment of this section (referred 
to in this subsection and subsection (b) as the `effective date'), a 
group health plan or a health insurance issuer offering group health 
insurance coverage, or an entity providing pharmacy benefit management 
services on behalf of such a plan or issuer, shall not enter into a 
contract, including an extension or renewal of a contract, entered into 
on or after the effective date, with an applicable entity unless such 
applicable entity agrees to--
            ``(1) not limit or delay the disclosure of information to 
        the group health plan (including such a plan offered through a 
        health insurance issuer) in such a manner that prevents an 
        entity providing pharmacy benefit management services on behalf 
        of a group health plan or health insurance issuer offering 
        group health insurance coverage from making the reports 
        described in subsection (b); and
            ``(2) provide the entity providing pharmacy benefit 
        management services on behalf of a group health plan or health 
        insurance issuer relevant information necessary to make the 
        reports described in subsection (b).
    ``(b) Reports.--
            ``(1) In general.--For plan years beginning on or after the 
        effective date, in the case of any contract between a group 
        health plan or a health insurance issuer offering group health 
        insurance coverage offered in connection with such a plan and 
        an entity providing pharmacy benefit management services on 
        behalf of such plan or issuer, including an extension or 
        renewal of such a contract, entered into on or after the 
        effective date, the entity providing pharmacy benefit 
        management services on behalf of such a group health plan or 
        health insurance issuer, not less frequently than every 6 
        months (or, at the request of a group health plan, not less 
        frequently than quarterly, and under the same conditions, 
        terms, and cost of the semiannual report under this 
        subsection), shall submit to the group health plan a report in 
        accordance with this section. Each such report shall be made 
        available to such group health plan in plain language, in a 
        machine-readable format, and as the Secretary may determine, 
        other formats. Each such report shall include the information 
        described in paragraph (2).
            ``(2) Information described.--For purposes of paragraph 
        (1), the information described in this paragraph is, with 
        respect to drugs covered by a group health plan or group health 
        insurance coverage offered by a health insurance issuer in 
        connection with a group health plan during each reporting 
        period--
                    ``(A) in the case of a group health plan that is 
                offered by a specified large employer or that is a 
                specified large plan, and is not offered as health 
                insurance coverage, or in the case of health insurance 
                coverage for which the election under paragraph (3) is 
                made for the applicable reporting period--
                            ``(i) a list of drugs for which a claim was 
                        filed and, with respect to each such drug on 
                        such list--
                                    ``(I) the contracted compensation 
                                paid by the group health plan or health 
                                insurance issuer for each covered drug 
                                (identified by the National Drug Code) 
                                to the entity providing pharmacy 
                                benefit management services or other 
                                applicable entity on behalf of the 
                                group health plan or health insurance 
                                issuer;
                                    ``(II) the contracted compensation 
                                paid to the pharmacy, by any entity 
                                providing pharmacy benefit management 
                                services or other applicable entity on 
                                behalf of the group health plan or 
                                health insurance issuer, for each 
                                covered drug (identified by the 
                                National Drug Code);
                                    ``(III) for each such claim, the 
                                difference between the amount paid 
                                under subclause (I) and the amount paid 
                                under subclause (II);
                                    ``(IV) the proprietary name, 
                                established name or proper name, and 
                                National Drug Code;
                                    ``(V) for each claim for the drug 
                                (including original prescriptions and 
                                refills) and for each dosage unit of 
                                the drug for which a claim was filed, 
                                the type of dispensing channel used to 
                                furnish the drug, including retail, 
                                mail order, or specialty pharmacy;
                                    ``(VI) with respect to each drug 
                                dispensed, for each type of dispensing 
                                channel (including retail, mail order, 
                                or specialty pharmacy)--
                                            ``(aa) whether such drug is 
                                        a brand name drug or a generic 
                                        drug, and--

                                                    ``(AA) in the case 
                                                of a brand name drug, 
                                                the wholesale 
                                                acquisition cost, 
                                                listed as cost per days 
                                                supply and cost per 
                                                dosage unit, on the 
                                                date such drug was 
                                                dispensed; and

                                                    ``(BB) in the case 
                                                of a generic drug, the 
                                                average wholesale 
                                                price, listed as cost 
                                                per days supply and 
                                                cost per dosage unit, 
                                                on the date such drug 
                                                was dispensed; and

                                            ``(bb) the total number 
                                        of--

                                                    ``(AA) prescription 
                                                claims (including 
                                                original prescriptions 
                                                and refills);

                                                    ``(BB) participants 
                                                and beneficiaries for 
                                                whom a claim for such 
                                                drug was filed through 
                                                the applicable 
                                                dispensing channel;

                                                    ``(CC) dosage units 
                                                and dosage units per 
                                                fill of such drug; and

                                                    ``(DD) days supply 
                                                of such drug per fill;

                                    ``(VII) the net price per course of 
                                treatment or single fill, such as a 30-
                                day supply or 90-day supply to the plan 
                                or coverage after rebates, fees, 
                                alternative discounts, or other 
                                remuneration received from applicable 
                                entities;
                                    ``(VIII) the total amount of out-
                                of-pocket spending by participants and 
                                beneficiaries on such drug, including 
                                spending through copayments, 
                                coinsurance, and deductibles, but not 
                                including any amounts spent by 
                                participants and beneficiaries on drugs 
                                not covered under the plan or coverage, 
                                or for which no claim is submitted 
                                under the plan or coverage;
                                    ``(IX) the total net spending on 
                                the drug;
                                    ``(X) the total amount received, or 
                                expected to be received, by the plan or 
                                issuer from any applicable entity in 
                                rebates, fees, alternative discounts, 
                                or other remuneration;
                                    ``(XI) the total amount received, 
                                or expected to be received, by the 
                                entity providing pharmacy benefit 
                                management services, from applicable 
                                entities, in rebates, fees, alternative 
                                discounts, or other remuneration from 
                                such entities--
                                            ``(aa) for claims incurred 
                                        during the reporting period; 
                                        and
                                            ``(bb) that is related to 
                                        utilization of such drug or 
                                        spending on such drug; and
                                    ``(XII) to the extent feasible, 
                                information on the total amount of 
                                remuneration for such drug, including 
                                copayment assistance dollars paid, 
                                copayment cards applied, or other 
                                discounts provided by each drug 
                                manufacturer (or entity administering 
                                copayment assistance on behalf of such 
                                drug manufacturer), to the participants 
                                and beneficiaries enrolled in such plan 
                                or coverage;
                            ``(ii) a list of each therapeutic class (as 
                        defined by the Secretary) for which a claim was 
                        filed under the group health plan or health 
                        insurance coverage during the reporting period, 
                        and, with respect to each such therapeutic 
                        class--
                                    ``(I) the total gross spending on 
                                drugs in such class before rebates, 
                                price concessions, alternative 
                                discounts, or other remuneration from 
                                applicable entities;
                                    ``(II) the net spending in such 
                                class after such rebates, price 
                                concessions, alternative discounts, or 
                                other remuneration from applicable 
                                entities;
                                    ``(III) the total amount received, 
                                or expected to be received, by the 
                                entity providing pharmacy benefit 
                                management services, from applicable 
                                entities, in rebates, fees, alternative 
                                discounts, or other remuneration from 
                                such entities--
                                            ``(aa) for claims incurred 
                                        during the reporting period; 
                                        and
                                            ``(bb) that is related to 
                                        utilization of drugs or drug 
                                        spending;
                                    ``(IV) the average net spending per 
                                30-day supply and per 90-day supply by 
                                the plan or by the issuer with respect 
                                to such coverage and its participants 
                                and beneficiaries, among all drugs 
                                within the therapeutic class for which 
                                a claim was filed during the reporting 
                                period;
                                    ``(V) the number of participants 
                                and beneficiaries who filled a 
                                prescription for a drug in such class, 
                                including the National Drug Code for 
                                each such drug;
                                    ``(VI) if applicable, a description 
                                of the formulary tiers and utilization 
                                mechanisms (such as prior authorization 
                                or step therapy) employed for drugs in 
                                that class; and
                                    ``(VII) the total out-of-pocket 
                                spending under the plan or coverage by 
                                participants and beneficiaries, 
                                including spending through copayments, 
                                coinsurance, and deductibles, but not 
                                including any amounts spent by 
                                participants and beneficiaries on drugs 
                                not covered under the plan or coverage 
                                or for which no claim is submitted 
                                under the plan or coverage;
                            ``(iii) with respect to any drug for which 
                        gross spending under the group health plan or 
                        health insurance coverage exceeded $10,000 
                        during the reporting period or, in the case 
                        that gross spending under the group health plan 
                        or coverage exceeded $10,000 during the 
                        reporting period with respect to fewer than 50 
                        drugs, with respect to the 50 prescription 
                        drugs with the highest spending during the 
                        reporting period--
                                    ``(I) a list of all other drugs in 
                                the same therapeutic class as such 
                                drug;
                                    ``(II) if applicable, the rationale 
                                for the formulary placement of such 
                                drug in that therapeutic category or 
                                class, selected from a list of standard 
                                rationales established by the 
                                Secretary, in consultation with 
                                stakeholders; and
                                    ``(III) any change in formulary 
                                placement compared to the prior plan 
                                year; and
                            ``(iv) in the case that such plan or issuer 
                        (or an entity providing pharmacy benefit 
                        management services on behalf of such plan or 
                        issuer) has an affiliated pharmacy or pharmacy 
                        under common ownership, including mandatory 
                        mail and specialty home delivery programs, 
                        retail and mail auto-refill programs, and cost 
                        sharing assistance incentives funded by an 
                        entity providing pharmacy benefit services--
                                    ``(I) an explanation of any benefit 
                                design parameters that encourage or 
                                require participants and beneficiaries 
                                in the plan or coverage to fill 
                                prescriptions at mail order, specialty, 
                                or retail pharmacies;
                                    ``(II) the percentage of total 
                                prescriptions dispensed by such 
                                pharmacies to participants or 
                                beneficiaries in such plan or coverage; 
                                and
                                    ``(III) a list of all drugs 
                                dispensed by such pharmacies to 
                                participants or beneficiaries enrolled 
                                in such plan or coverage, and, with 
                                respect to each drug dispensed--
                                            ``(aa) the amount charged, 
                                        per dosage unit, per 30-day 
                                        supply, or per 90-day supply 
                                        (as applicable) to the plan or 
                                        issuer, and to participants and 
                                        beneficiaries;
                                            ``(bb) the median amount 
                                        charged to such plan or issuer, 
                                        and the interquartile range of 
                                        the costs, per dosage unit, per 
                                        30-day supply, and per 90-day 
                                        supply, including amounts paid 
                                        by the participants and 
                                        beneficiaries, when the same 
                                        drug is dispensed by other 
                                        pharmacies that are not 
                                        affiliated with or under common 
                                        ownership with the entity and 
                                        that are included in the 
                                        pharmacy network of such plan 
                                        or coverage;
                                            ``(cc) the lowest cost per 
                                        dosage unit, per 30-day supply 
                                        and per 90-day supply, for each 
                                        such drug, including amounts 
                                        charged to the plan or coverage 
                                        and to participants and 
                                        beneficiaries, that is 
                                        available from any pharmacy 
                                        included in the network of such 
                                        plan or coverage; and
                                            ``(dd) the net acquisition 
                                        cost per dosage unit, per 30-
                                        day supply, and per 90-day 
                                        supply, if such drug is subject 
                                        to a maximum price discount; 
                                        and
                    ``(B) with respect to any group health plan, 
                including group health insurance coverage offered in 
                connection with such a plan, regardless of whether the 
                plan or coverage is offered by a specified large 
                employer or whether it is a specified large plan--
                            ``(i) a summary document for the group 
                        health plan that includes such information 
                        described in clauses (i) through (iv) of 
                        subparagraph (A), as specified by the Secretary 
                        through guidance, program instruction, or 
                        otherwise (with no requirement of notice and 
                        comment rulemaking), that the Secretary 
                        determines useful to group health plans for 
                        purposes of selecting pharmacy benefit 
                        management services, such as an estimated net 
                        price to group health plan and participant or 
                        beneficiary, a cost per claim, the fee 
                        structure or reimbursement model, and estimated 
                        cost per participant or beneficiary;
                            ``(ii) a summary document for plans and 
                        issuers to provide to participants and 
                        beneficiaries, which shall be made available to 
                        participants or beneficiaries upon request to 
                        their group health plan (including in the case 
                        of group health insurance coverage offered in 
                        connection with such a plan), that--
                                    ``(I) contains such information 
                                described in clauses (iii), (iv), (v), 
                                and (vi), as applicable, as specified 
                                by the Secretary through guidance, 
                                program instruction, or otherwise (with 
                                no requirement of notice and comment 
                                rulemaking) that the Secretary 
                                determines useful to participants or 
                                beneficiaries in better understanding 
                                the plan or coverage or benefits under 
                                such plan or coverage;
                                    ``(II) contains only aggregate 
                                information; and
                                    ``(III) states that participants 
                                and beneficiaries may request specific, 
                                claims-level information required to be 
                                furnished under subsection (c) from the 
                                group health plan or health insurance 
                                issuer; and
                            ``(iii) with respect to drugs covered by 
                        such plan or coverage during such reporting 
                        period--
                                    ``(I) the total net spending by the 
                                plan or coverage for all such drugs;
                                    ``(II) the total amount received, 
                                or expected to be received, by the plan 
                                or issuer from any applicable entity in 
                                rebates, fees, alternative discounts, 
                                or other remuneration; and
                                    ``(III) to the extent feasible, 
                                information on the total amount of 
                                remuneration for such drugs, including 
                                copayment assistance dollars paid, 
                                copayment cards applied, or other 
                                discounts provided by each drug 
                                manufacturer (or entity administering 
                                copayment assistance on behalf of such 
                                drug manufacturer) to participants and 
                                beneficiaries;
                            ``(iv) amounts paid directly or indirectly 
                        in rebates, fees, or any other type of 
                        compensation (as defined in section 
                        408(b)(2)(B)(ii)(dd)(AA)) to brokerage firms, 
                        brokers, consultants, advisors, or any other 
                        individual or firm, for--
                                    ``(I) the referral of the group 
                                health plan's or health insurance 
                                issuer's business to an entity 
                                providing pharmacy benefit management 
                                services, including the identity of the 
                                recipient of such amounts;
                                    ``(II) consideration of the entity 
                                providing pharmacy benefit management 
                                services by the group health plan or 
                                health insurance issuer; or
                                    ``(III) the retention of the entity 
                                by the group health plan or health 
                                insurance issuer;
                            ``(v) an explanation of any benefit design 
                        parameters that encourage or require 
                        participants and beneficiaries in such plan or 
                        coverage to fill prescriptions at mail order, 
                        specialty, or retail pharmacies that are 
                        affiliated with or under common ownership with 
                        the entity providing pharmacy benefit 
                        management services under such plan or 
                        coverage, including mandatory mail and 
                        specialty home delivery programs, retail and 
                        mail auto-refill programs, and cost-sharing 
                        assistance incentives directly or indirectly 
                        funded by such entity; and
                            ``(vi) total gross spending on all drugs 
                        under the plan or coverage during the reporting 
                        period.
            ``(3) Opt-in for group health insurance coverage offered by 
        a specified large employer or that is a specified large plan.--
        In the case of group health insurance coverage offered in 
        connection with a group health plan that is offered by a 
        specified large employer or is a specified large plan, such 
        group health plan may, on an annual basis, for plan years 
        beginning on or after the date that is 30 months after the date 
        of enactment of this section, elect to require an entity 
        providing pharmacy benefit management services on behalf of the 
        health insurance issuer to submit to such group health plan a 
        report that includes all of the information described in 
        paragraph (2)(A), in addition to the information described in 
        paragraph (2)(B).
            ``(4) Privacy requirements.--
                    ``(A) In general.--An entity providing pharmacy 
                benefit management services on behalf of a group health 
                plan or a health insurance issuer offering group health 
                insurance coverage shall report information under 
                paragraph (1) in a manner consistent with the privacy 
                regulations promulgated under section 13402(a) of the 
                Health Information Technology for Economic and Clinical 
                Health Act (42 U.S.C. 17932(a)) and consistent with the 
                privacy regulations promulgated under the Health 
                Insurance Portability and Accountability Act of 1996 in 
                part 160 and subparts A and E of part 164 of title 45, 
                Code of Federal Regulations (or successor regulations) 
                (referred to in this paragraph as the `HIPAA privacy 
                regulations') and shall restrict the use and disclosure 
                of such information according to such privacy 
                regulations and such HIPAA privacy regulations.
                    ``(B) Additional requirements.--
                            ``(i) In general.--An entity providing 
                        pharmacy benefit management services on behalf 
                        of a group health plan or health insurance 
                        issuer offering group health insurance coverage 
                        that submits a report under paragraph (1) shall 
                        ensure that such report contains only summary 
                        health information, as defined in section 
                        164.504(a) of title 45, Code of Federal 
                        Regulations (or successor regulations).
                            ``(ii) Restrictions.--In carrying out this 
                        subsection, a group health plan shall comply 
                        with section 164.504(f) of title 45, Code of 
                        Federal Regulations (or a successor 
                        regulation), and a plan sponsor shall act in 
                        accordance with the terms of the agreement 
                        described in such section.
                    ``(C) Rule of construction.--
                            ``(i) Nothing in this section shall be 
                        construed to modify the requirements for the 
                        creation, receipt, maintenance, or transmission 
                        of protected health information under the HIPAA 
                        privacy regulations.
                            ``(ii) Nothing in this section shall be 
                        construed to affect the application of any 
                        Federal or State privacy or civil rights law, 
                        including the HIPAA privacy regulations, the 
                        Genetic Information Nondiscrimination Act of 
                        2008 (Public Law 110-233) (including the 
                        amendments made by such Act), the Americans 
                        with Disabilities Act of 1990 (42 U.S.C. 12101 
                        et seq.), section 504 of the Rehabilitation Act 
                        of 1973 (29 U.S.C. 794), section 1557 of the 
                        Patient Protection and Affordable Care Act (42 
                        U.S.C. 18116), title VI of the Civil Rights Act 
                        of 1964 (42 U.S.C. 2000d), and title VII of the 
                        Civil Rights Act of 1964 (42 U.S.C. 2000e).
                    ``(D) Written notice.--Each plan year, group health 
                plans, including with respect to group health insurance 
                coverage offered in connection with a group health 
                plan, shall provide to each participant or beneficiary 
                written notice informing the participant or beneficiary 
                of the requirement for entities providing pharmacy 
                benefit management services on behalf of the group 
                health plan or health insurance issuer offering group 
                health insurance coverage to submit reports to group 
                health plans under paragraph (1), as applicable, which 
                may include incorporating such notification in plan 
                documents provided to the participant or beneficiary, 
                or providing individual notification.
                    ``(E) Limitation to business associates.--A group 
                health plan receiving a report under paragraph (1) may 
                disclose such information only to the entity from which 
                the report was received or to that entity's business 
                associates as defined in section 160.103 of title 45, 
                Code of Federal Regulations (or successor regulations) 
                or as permitted by the HIPAA privacy regulations.
                    ``(F) Clarification regarding public disclosure of 
                information.--Nothing in this section shall prevent an 
                entity providing pharmacy benefit management services 
                on behalf of a group health plan or health insurance 
                issuer offering group health insurance coverage, from 
                placing reasonable restrictions on the public 
                disclosure of the information contained in a report 
                described in paragraph (1), except that such plan, 
                issuer, or entity may not--
                            ``(i) restrict disclosure of such report to 
                        the Department of Health and Human Services, 
                        the Department of Labor, or the Department of 
                        the Treasury; or
                            ``(ii) prevent disclosure for the purposes 
                        of subsection (c), or any other public 
                        disclosure requirement under this section.
                    ``(G) Limited form of report.--The Secretary shall 
                define through rulemaking a limited form of the report 
                under paragraph (1) required with respect to any group 
                health plan established by a plan sponsor that is, or 
                is affiliated with, a drug manufacturer, drug 
                wholesaler, or other direct participant in the drug 
                supply chain, in order to prevent anti-competitive 
                behavior.
            ``(5) Standard format and regulations.--
                    ``(A) In general.--Not later than 18 months after 
                the date of enactment of this section, the Secretary 
                shall specify through rulemaking a standard format for 
                entities providing pharmacy benefit management services 
                on behalf of group health plans and health insurance 
                issuers offering group health insurance coverage, to 
                submit reports required under paragraph (1).
                    ``(B) Additional regulations.--Not later than 18 
                months after the date of enactment of this section, the 
                Secretary shall, through rulemaking, promulgate any 
                other final regulations necessary to implement the 
                requirements of this section. In promulgating such 
                regulations, the Secretary shall, to the extent 
                practicable, align the reporting requirements under 
                this section with the reporting requirements under 
                section 725.
    ``(c) Requirement To Provide Information to Participants or 
Beneficiaries.--A group health plan, including with respect to group 
health insurance coverage offered in connection with a group health 
plan, upon request of a participant or beneficiary, shall provide to 
such participant or beneficiary--
            ``(1) the summary document described in subsection 
        (b)(2)(B)(ii); and
            ``(2) the information described in subsection 
        (b)(2)(A)(i)(III) with respect to a claim made by or on behalf 
        of such participant or beneficiary.
    ``(d) Rule of Construction.--Nothing in this section shall be 
construed to permit a health insurance issuer, group health plan, 
entity providing pharmacy benefit management services on behalf of a 
group health plan or health insurance issuer, or other entity to 
restrict disclosure to, or otherwise limit the access of, the Secretary 
to a report described in subsection (b)(1) or information related to 
compliance with subsections (a), (b), or (c) of this section or section 
502(c)(13) by such issuer, plan, or entity.
    ``(e) Definitions.--In this section:
            ``(1) Applicable entity.--The term `applicable entity' 
        means--
                    ``(A) an applicable group purchasing organization, 
                drug manufacturer, distributor, wholesaler, rebate 
                aggregator (or other purchasing entity designed to 
                aggregate rebates), or associated third party;
                    ``(B) any subsidiary, parent, affiliate, or 
                subcontractor of a group health plan, health insurance 
                issuer, entity that provides pharmacy benefit 
                management services on behalf of such a plan or issuer, 
                or any entity described in subparagraph (A); or
                    ``(C) such other entity as the Secretary may 
                specify through rulemaking.
            ``(2) Applicable group purchasing organization.--The term 
        `applicable group purchasing organization' means a group 
        purchasing organization that is affiliated with or under common 
        ownership with an entity providing pharmacy benefit management 
        services.
            ``(3) Contracted compensation.--The term `contracted 
        compensation' means the sum of any ingredient cost and 
        dispensing fee for a drug (inclusive of the out-of-pocket costs 
        to the participant or beneficiary), or another analogous 
        compensation structure that the Secretary may specify through 
        regulations.
            ``(4) Gross spending.--The term `gross spending', with 
        respect to prescription drug benefits under a group health plan 
        or health insurance coverage, means the amount spent by a group 
        health plan or health insurance issuer on prescription drug 
        benefits, calculated before the application of rebates, fees, 
        alternative discounts, or other remuneration.
            ``(5) Net spending.--The term `net spending', with respect 
        to prescription drug benefits under a group health plan or 
        health insurance coverage, means the amount spent by a group 
        health plan or health insurance issuer on prescription drug 
        benefits, calculated after the application of rebates, fees, 
        alternative discounts, or other remuneration.
            ``(6) Plan sponsor.--The term `plan sponsor' has the 
        meaning given such term in section 3(16)(B).
            ``(7) Remuneration.--The term `remuneration' has the 
        meaning given such term by the Secretary through rulemaking, 
        which shall be reevaluated by the Secretary every 5 years.
            ``(8) Specified large employer.--The term `specified large 
        employer' means, in connection with a group health plan 
        (including group health insurance coverage offered in 
        connection with such a plan) established or maintained by a 
        single employer, with respect to a calendar year or a plan 
        year, as applicable, an employer who employed an average of at 
        least 100 employees on business days during the preceding 
        calendar year or plan year and who employs at least 1 employee 
        on the first day of the calendar year or plan year.
            ``(9) Specified large plan.--The term `specified large 
        plan' means a group health plan (including group health 
        insurance coverage offered in connection with such a plan) 
        established or maintained by a plan sponsor described in clause 
        (ii) or (iii) of section 3(16)(B) that had an average of at 
        least 100 participants on business days during the preceding 
        calendar year or plan year, as applicable.
            ``(10) Wholesale acquisition cost.--The term `wholesale 
        acquisition cost' has the meaning given such term in section 
        1847A(c)(6)(B) of the Social Security Act (42 U.S.C. 1395w-
        3a(c)(6)(B)).'';
                    (B) in section 502 (29 U.S.C. 1132)--
                            (i) in subsection (a)(6), by striking ``or 
                        (9)'' and inserting ``(9), or (13)'';
                            (ii) in subsection (b)(3), by striking 
                        ``under subsection (c)(9)'' and inserting 
                        ``under paragraphs (9) and (13) of subsection 
                        (c)''; and
                            (iii) in subsection (c), by adding at the 
                        end the following:
            ``(13) Secretarial enforcement authority relating to 
        oversight of pharmacy benefit management services.--
                    ``(A) Failure to provide information.--The 
                Secretary may impose a penalty against a plan 
                administrator of a group health plan, a health 
                insurance issuer offering group health insurance 
                coverage, or an entity providing pharmacy benefit 
                management services on behalf of such a plan or issuer, 
                or an applicable entity (as defined in section 726(f)) 
                that violates section 726(a); an entity providing 
                pharmacy benefit management services on behalf of such 
                a plan or issuer that fails to provide the information 
                required under section 726(b); or any person who causes 
                a group health plan to fail to provide the information 
                required under section 726(c), in the amount of $10,000 
                for each day during which such violation continues or 
                such information is not disclosed or reported.
                    ``(B) False information.--The Secretary may impose 
                a penalty against a plan administrator of a group 
                health plan, a health insurance issuer offering group 
                health insurance coverage, an entity providing pharmacy 
                benefit management services, or an applicable entity 
                (as defined in section 726(f)) that knowingly provides 
                false information under section 726, in an amount not 
                to exceed $100,000 for each item of false information. 
                Such penalty shall be in addition to other penalties as 
                may be prescribed by law.
                    ``(C) Waivers.--The Secretary may waive penalties 
                under subparagraph (A), or extend the period of time 
                for compliance with a requirement of this section, for 
                an entity in violation of section 726 that has made a 
                good-faith effort to comply with the requirements of 
                section 726.''; and
                    (C) in section 732(a) (29 U.S.C. 1191a(a)), by 
                striking ``section 711'' and inserting ``sections 711 
                and 726''.
            (2) Clerical amendment.--The table of contents in section 1 
        of the Employee Retirement Income Security Act of 1974 (29 
        U.S.C. 1001 et seq.) is amended by inserting after the item 
        relating to section 725 the following new item:

``Sec. 726. Oversight of entities that provide pharmacy benefit 
                            management services.''.
    (c) Internal Revenue Code of 1986.--
            (1) In general.--Chapter 100 of the Internal Revenue Code 
        of 1986 is amended--
                    (A) by adding at the end of subchapter B the 
                following:

``SEC. 9826. OVERSIGHT OF ENTITIES THAT PROVIDE PHARMACY BENEFIT 
              MANAGEMENT SERVICES.

    ``(a) In General.--For plan years beginning on or after the date 
that is 30 months after the date of enactment of this section (referred 
to in this subsection and subsection (b) as the `effective date'), a 
group health plan, or an entity providing pharmacy benefit management 
services on behalf of such a plan, shall not enter into a contract, 
including an extension or renewal of a contract, entered into on or 
after the effective date, with an applicable entity unless such 
applicable entity agrees to--
            ``(1) not limit or delay the disclosure of information to 
        the group health plan in such a manner that prevents an entity 
        providing pharmacy benefit management services on behalf of a 
        group health plan from making the reports described in 
        subsection (b); and
            ``(2) provide the entity providing pharmacy benefit 
        management services on behalf of a group health plan relevant 
        information necessary to make the reports described in 
        subsection (b).
    ``(b) Reports.--
            ``(1) In general.--For plan years beginning on or after the 
        effective date, in the case of any contract between a group 
        health plan and an entity providing pharmacy benefit management 
        services on behalf of such plan, including an extension or 
        renewal of such a contract, entered into on or after the 
        effective date, the entity providing pharmacy benefit 
        management services on behalf of such a group health plan, not 
        less frequently than every 6 months (or, at the request of a 
        group health plan, not less frequently than quarterly, and 
        under the same conditions, terms, and cost of the semiannual 
        report under this subsection), shall submit to the group health 
        plan a report in accordance with this section. Each such report 
        shall be made available to such group health plan in plain 
        language, in a machine-readable format, and as the Secretary 
        may determine, other formats. Each such report shall include 
        the information described in paragraph (2).
            ``(2) Information described.--For purposes of paragraph 
        (1), the information described in this paragraph is, with 
        respect to drugs covered by a group health plan during each 
        reporting period--
                    ``(A) in the case of a group health plan that is 
                offered by a specified large employer or that is a 
                specified large plan, and is not offered as health 
                insurance coverage, or in the case of health insurance 
                coverage for which the election under paragraph (3) is 
                made for the applicable reporting period--
                            ``(i) a list of drugs for which a claim was 
                        filed and, with respect to each such drug on 
                        such list--
                                    ``(I) the contracted compensation 
                                paid by the group health plan for each 
                                covered drug (identified by the 
                                National Drug Code) to the entity 
                                providing pharmacy benefit management 
                                services or other applicable entity on 
                                behalf of the group health plan;
                                    ``(II) the contracted compensation 
                                paid to the pharmacy, by any entity 
                                providing pharmacy benefit management 
                                services or other applicable entity on 
                                behalf of the group health plan, for 
                                each covered drug (identified by the 
                                National Drug Code);
                                    ``(III) for each such claim, the 
                                difference between the amount paid 
                                under subclause (I) and the amount paid 
                                under subclause (II);
                                    ``(IV) the proprietary name, 
                                established name or proper name, and 
                                National Drug Code;
                                    ``(V) for each claim for the drug 
                                (including original prescriptions and 
                                refills) and for each dosage unit of 
                                the drug for which a claim was filed, 
                                the type of dispensing channel used to 
                                furnish the drug, including retail, 
                                mail order, or specialty pharmacy;
                                    ``(VI) with respect to each drug 
                                dispensed, for each type of dispensing 
                                channel (including retail, mail order, 
                                or specialty pharmacy)--
                                            ``(aa) whether such drug is 
                                        a brand name drug or a generic 
                                        drug, and--

                                                    ``(AA) in the case 
                                                of a brand name drug, 
                                                the wholesale 
                                                acquisition cost, 
                                                listed as cost per days 
                                                supply and cost per 
                                                dosage unit, on the 
                                                date such drug was 
                                                dispensed; and

                                                    ``(BB) in the case 
                                                of a generic drug, the 
                                                average wholesale 
                                                price, listed as cost 
                                                per days supply and 
                                                cost per dosage unit, 
                                                on the date such drug 
                                                was dispensed; and

                                            ``(bb) the total number 
                                        of--

                                                    ``(AA) prescription 
                                                claims (including 
                                                original prescriptions 
                                                and refills);

                                                    ``(BB) participants 
                                                and beneficiaries for 
                                                whom a claim for such 
                                                drug was filed through 
                                                the applicable 
                                                dispensing channel;

                                                    ``(CC) dosage units 
                                                and dosage units per 
                                                fill of such drug; and

                                                    ``(DD) days supply 
                                                of such drug per fill;

                                    ``(VII) the net price per course of 
                                treatment or single fill, such as a 30-
                                day supply or 90-day supply to the plan 
                                after rebates, fees, alternative 
                                discounts, or other remuneration 
                                received from applicable entities;
                                    ``(VIII) the total amount of out-
                                of-pocket spending by participants and 
                                beneficiaries on such drug, including 
                                spending through copayments, 
                                coinsurance, and deductibles, but not 
                                including any amounts spent by 
                                participants and beneficiaries on drugs 
                                not covered under the plan, or for 
                                which no claim is submitted under the 
                                plan;
                                    ``(IX) the total net spending on 
                                the drug;
                                    ``(X) the total amount received, or 
                                expected to be received, by the plan 
                                from any applicable entity in rebates, 
                                fees, alternative discounts, or other 
                                remuneration;
                                    ``(XI) the total amount received, 
                                or expected to be received, by the 
                                entity providing pharmacy benefit 
                                management services, from applicable 
                                entities, in rebates, fees, alternative 
                                discounts, or other remuneration from 
                                such entities--
                                            ``(aa) for claims incurred 
                                        during the reporting period; 
                                        and
                                            ``(bb) that is related to 
                                        utilization of such drug or 
                                        spending on such drug; and
                                    ``(XII) to the extent feasible, 
                                information on the total amount of 
                                remuneration for such drug, including 
                                copayment assistance dollars paid, 
                                copayment cards applied, or other 
                                discounts provided by each drug 
                                manufacturer (or entity administering 
                                copayment assistance on behalf of such 
                                drug manufacturer), to the participants 
                                and beneficiaries enrolled in such 
                                plan;
                            ``(ii) a list of each therapeutic class (as 
                        defined by the Secretary) for which a claim was 
                        filed under the group health plan during the 
                        reporting period, and, with respect to each 
                        such therapeutic class--
                                    ``(I) the total gross spending on 
                                drugs in such class before rebates, 
                                price concessions, alternative 
                                discounts, or other remuneration from 
                                applicable entities;
                                    ``(II) the net spending in such 
                                class after such rebates, price 
                                concessions, alternative discounts, or 
                                other remuneration from applicable 
                                entities;
                                    ``(III) the total amount received, 
                                or expected to be received, by the 
                                entity providing pharmacy benefit 
                                management services, from applicable 
                                entities, in rebates, fees, alternative 
                                discounts, or other remuneration from 
                                such entities--
                                            ``(aa) for claims incurred 
                                        during the reporting period; 
                                        and
                                            ``(bb) that is related to 
                                        utilization of drugs or drug 
                                        spending;
                                    ``(IV) the average net spending per 
                                30-day supply and per 90-day supply by 
                                the plan and its participants and 
                                beneficiaries, among all drugs within 
                                the therapeutic class for which a claim 
                                was filed during the reporting period;
                                    ``(V) the number of participants 
                                and beneficiaries who filled a 
                                prescription for a drug in such class, 
                                including the National Drug Code for 
                                each such drug;
                                    ``(VI) if applicable, a description 
                                of the formulary tiers and utilization 
                                mechanisms (such as prior authorization 
                                or step therapy) employed for drugs in 
                                that class; and
                                    ``(VII) the total out-of-pocket 
                                spending under the plan by participants 
                                and beneficiaries, including spending 
                                through copayments, coinsurance, and 
                                deductibles, but not including any 
                                amounts spent by participants and 
                                beneficiaries on drugs not covered 
                                under the plan or for which no claim is 
                                submitted under the plan;
                            ``(iii) with respect to any drug for which 
                        gross spending under the group health plan 
                        exceeded $10,000 during the reporting period 
                        or, in the case that gross spending under the 
                        group health plan exceeded $10,000 during the 
                        reporting period with respect to fewer than 50 
                        drugs, with respect to the 50 prescription 
                        drugs with the highest spending during the 
                        reporting period--
                                    ``(I) a list of all other drugs in 
                                the same therapeutic class as such 
                                drug;
                                    ``(II) if applicable, the rationale 
                                for the formulary placement of such 
                                drug in that therapeutic category or 
                                class, selected from a list of standard 
                                rationales established by the 
                                Secretary, in consultation with 
                                stakeholders; and
                                    ``(III) any change in formulary 
                                placement compared to the prior plan 
                                year; and
                            ``(iv) in the case that such plan (or an 
                        entity providing pharmacy benefit management 
                        services on behalf of such plan) has an 
                        affiliated pharmacy or pharmacy under common 
                        ownership, including mandatory mail and 
                        specialty home delivery programs, retail and 
                        mail auto-refill programs, and cost sharing 
                        assistance incentives funded by an entity 
                        providing pharmacy benefit services--
                                    ``(I) an explanation of any benefit 
                                design parameters that encourage or 
                                require participants and beneficiaries 
                                in the plan to fill prescriptions at 
                                mail order, specialty, or retail 
                                pharmacies;
                                    ``(II) the percentage of total 
                                prescriptions dispensed by such 
                                pharmacies to participants or 
                                beneficiaries in such plan; and
                                    ``(III) a list of all drugs 
                                dispensed by such pharmacies to 
                                participants or beneficiaries enrolled 
                                in such plan, and, with respect to each 
                                drug dispensed--
                                            ``(aa) the amount charged, 
                                        per dosage unit, per 30-day 
                                        supply, or per 90-day supply 
                                        (as applicable) to the plan, 
                                        and to participants and 
                                        beneficiaries;
                                            ``(bb) the median amount 
                                        charged to such plan, and the 
                                        interquartile range of the 
                                        costs, per dosage unit, per 30-
                                        day supply, and per 90-day 
                                        supply, including amounts paid 
                                        by the participants and 
                                        beneficiaries, when the same 
                                        drug is dispensed by other 
                                        pharmacies that are not 
                                        affiliated with or under common 
                                        ownership with the entity and 
                                        that are included in the 
                                        pharmacy network of such plan;
                                            ``(cc) the lowest cost per 
                                        dosage unit, per 30-day supply 
                                        and per 90-day supply, for each 
                                        such drug, including amounts 
                                        charged to the plan and to 
                                        participants and beneficiaries, 
                                        that is available from any 
                                        pharmacy included in the 
                                        network of such plan; and
                                            ``(dd) the net acquisition 
                                        cost per dosage unit, per 30-
                                        day supply, and per 90-day 
                                        supply, if such drug is subject 
                                        to a maximum price discount; 
                                        and
                    ``(B) with respect to any group health plan, 
                regardless of whether the plan is offered by a 
                specified large employer or whether it is a specified 
                large plan--
                            ``(i) a summary document for the group 
                        health plan that includes such information 
                        described in clauses (i) through (iv) of 
                        subparagraph (A), as specified by the Secretary 
                        through guidance, program instruction, or 
                        otherwise (with no requirement of notice and 
                        comment rulemaking), that the Secretary 
                        determines useful to group health plans for 
                        purposes of selecting pharmacy benefit 
                        management services, such as an estimated net 
                        price to group health plan and participant or 
                        beneficiary, a cost per claim, the fee 
                        structure or reimbursement model, and estimated 
                        cost per participant or beneficiary;
                            ``(ii) a summary document for plans to 
                        provide to participants and beneficiaries, 
                        which shall be made available to participants 
                        or beneficiaries upon request to their group 
                        health plan, that--
                                    ``(I) contains such information 
                                described in clauses (iii), (iv), (v), 
                                and (vi), as applicable, as specified 
                                by the Secretary through guidance, 
                                program instruction, or otherwise (with 
                                no requirement of notice and comment 
                                rulemaking) that the Secretary 
                                determines useful to participants or 
                                beneficiaries in better understanding 
                                the plan or benefits under such plan;
                                    ``(II) contains only aggregate 
                                information; and
                                    ``(III) states that participants 
                                and beneficiaries may request specific, 
                                claims-level information required to be 
                                furnished under subsection (c) from the 
                                group health plan; and
                            ``(iii) with respect to drugs covered by 
                        such plan during such reporting period--
                                    ``(I) the total net spending by the 
                                plan for all such drugs;
                                    ``(II) the total amount received, 
                                or expected to be received, by the plan 
                                from any applicable entity in rebates, 
                                fees, alternative discounts, or other 
                                remuneration; and
                                    ``(III) to the extent feasible, 
                                information on the total amount of 
                                remuneration for such drugs, including 
                                copayment assistance dollars paid, 
                                copayment cards applied, or other 
                                discounts provided by each drug 
                                manufacturer (or entity administering 
                                copayment assistance on behalf of such 
                                drug manufacturer) to participants and 
                                beneficiaries;
                            ``(iv) amounts paid directly or indirectly 
                        in rebates, fees, or any other type of 
                        compensation (as defined in section 
                        408(b)(2)(B)(ii)(dd)(AA) of the Employee 
                        Retirement Income Security Act (29 U.S.C. 
                        1108(b)(2)(B)(ii)(dd)(AA))) to brokerage firms, 
                        brokers, consultants, advisors, or any other 
                        individual or firm, for--
                                    ``(I) the referral of the group 
                                health plan's business to an entity 
                                providing pharmacy benefit management 
                                services, including the identity of the 
                                recipient of such amounts;
                                    ``(II) consideration of the entity 
                                providing pharmacy benefit management 
                                services by the group health plan; or
                                    ``(III) the retention of the entity 
                                by the group health plan;
                            ``(v) an explanation of any benefit design 
                        parameters that encourage or require 
                        participants and beneficiaries in such plan to 
                        fill prescriptions at mail order, specialty, or 
                        retail pharmacies that are affiliated with or 
                        under common ownership with the entity 
                        providing pharmacy benefit management services 
                        under such plan, including mandatory mail and 
                        specialty home delivery programs, retail and 
                        mail auto-refill programs, and cost-sharing 
                        assistance incentives directly or indirectly 
                        funded by such entity; and
                            ``(vi) total gross spending on all drugs 
                        under the plan during the reporting period.
            ``(3) Opt-in for group health insurance coverage offered by 
        a specified large employer or that is a specified large plan.--
        In the case of group health insurance coverage offered in 
        connection with a group health plan that is offered by a 
        specified large employer or is a specified large plan, such 
        group health plan may, on an annual basis, for plan years 
        beginning on or after the date that is 30 months after the date 
        of enactment of this section, elect to require an entity 
        providing pharmacy benefit management services on behalf of the 
        health insurance issuer to submit to such group health plan a 
        report that includes all of the information described in 
        paragraph (2)(A), in addition to the information described in 
        paragraph (2)(B).
            ``(4) Privacy requirements.--
                    ``(A) In general.--An entity providing pharmacy 
                benefit management services on behalf of a group health 
                plan shall report information under paragraph (1) in a 
                manner consistent with the privacy regulations 
                promulgated under section 13402(a) of the Health 
                Information Technology for Economic and Clinical Health 
                Act (42 U.S.C. 17932(a)) and consistent with the 
                privacy regulations promulgated under the Health 
                Insurance Portability and Accountability Act of 1996 in 
                part 160 and subparts A and E of part 164 of title 45, 
                Code of Federal Regulations (or successor regulations) 
                (referred to in this paragraph as the `HIPAA privacy 
                regulations') and shall restrict the use and disclosure 
                of such information according to such privacy 
                regulations and such HIPAA privacy regulations.
                    ``(B) Additional requirements.--
                            ``(i) In general.--An entity providing 
                        pharmacy benefit management services on behalf 
                        of a group health plan that submits a report 
                        under paragraph (1) shall ensure that such 
                        report contains only summary health 
                        information, as defined in section 164.504(a) 
                        of title 45, Code of Federal Regulations (or 
                        successor regulations).
                            ``(ii) Restrictions.--In carrying out this 
                        subsection, a group health plan shall comply 
                        with section 164.504(f) of title 45, Code of 
                        Federal Regulations (or a successor 
                        regulation), and a plan sponsor shall act in 
                        accordance with the terms of the agreement 
                        described in such section.
                    ``(C) Rule of construction.--
                            ``(i) Nothing in this section shall be 
                        construed to modify the requirements for the 
                        creation, receipt, maintenance, or transmission 
                        of protected health information under the HIPAA 
                        privacy regulations.
                            ``(ii) Nothing in this section shall be 
                        construed to affect the application of any 
                        Federal or State privacy or civil rights law, 
                        including the HIPAA privacy regulations, the 
                        Genetic Information Nondiscrimination Act of 
                        2008 (Public Law 110-233) (including the 
                        amendments made by such Act), the Americans 
                        with Disabilities Act of 1990 (42 U.S.C. 12101 
                        et seq.), section 504 of the Rehabilitation Act 
                        of 1973 (29 U.S.C. 794), section 1557 of the 
                        Patient Protection and Affordable Care Act (42 
                        U.S.C. 18116), title VI of the Civil Rights Act 
                        of 1964 (42 U.S.C. 2000d), and title VII of the 
                        Civil Rights Act of 1964 (42 U.S.C. 2000e).
                    ``(D) Written notice.--Each plan year, group health 
                plans shall provide to each participant or beneficiary 
                written notice informing the participant or beneficiary 
                of the requirement for entities providing pharmacy 
                benefit management services on behalf of the group 
                health plan to submit reports to group health plans 
                under paragraph (1), as applicable, which may include 
                incorporating such notification in plan documents 
                provided to the participant or beneficiary, or 
                providing individual notification.
                    ``(E) Limitation to business associates.--A group 
                health plan receiving a report under paragraph (1) may 
                disclose such information only to the entity from which 
                the report was received or to that entity's business 
                associates as defined in section 160.103 of title 45, 
                Code of Federal Regulations (or successor regulations) 
                or as permitted by the HIPAA privacy regulations.
                    ``(F) Clarification regarding public disclosure of 
                information.--Nothing in this section shall prevent an 
                entity providing pharmacy benefit management services 
                on behalf of a group health plan, from placing 
                reasonable restrictions on the public disclosure of the 
                information contained in a report described in 
                paragraph (1), except that such plan or entity may 
                not--
                            ``(i) restrict disclosure of such report to 
                        the Department of Health and Human Services, 
                        the Department of Labor, or the Department of 
                        the Treasury; or
                            ``(ii) prevent disclosure for the purposes 
                        of subsection (c), or any other public 
                        disclosure requirement under this section.
                    ``(G) Limited form of report.--The Secretary shall 
                define through rulemaking a limited form of the report 
                under paragraph (1) required with respect to any group 
                health plan established by a plan sponsor that is, or 
                is affiliated with, a drug manufacturer, drug 
                wholesaler, or other direct participant in the drug 
                supply chain, in order to prevent anti-competitive 
                behavior.
            ``(5) Standard format and regulations.--
                    ``(A) In general.--Not later than 18 months after 
                the date of enactment of this section, the Secretary 
                shall specify through rulemaking a standard format for 
                entities providing pharmacy benefit management services 
                on behalf of group health plans, to submit reports 
                required under paragraph (1).
                    ``(B) Additional regulations.--Not later than 18 
                months after the date of enactment of this section, the 
                Secretary shall, through rulemaking, promulgate any 
                other final regulations necessary to implement the 
                requirements of this section. In promulgating such 
                regulations, the Secretary shall, to the extent 
                practicable, align the reporting requirements under 
                this section with the reporting requirements under 
                section 9825.
    ``(c) Requirement To Provide Information to Participants or 
Beneficiaries.--A group health plan, upon request of a participant or 
beneficiary, shall provide to such participant or beneficiary--
            ``(1) the summary document described in subsection 
        (b)(2)(B)(ii); and
            ``(2) the information described in subsection 
        (b)(2)(A)(i)(III) with respect to a claim made by or on behalf 
        of such participant or beneficiary.
    ``(d) Rule of Construction.--Nothing in this section shall be 
construed to permit a health insurance issuer, group health plan, 
entity providing pharmacy benefit management services on behalf of a 
group health plan or health insurance issuer, or other entity to 
restrict disclosure to, or otherwise limit the access of, the Secretary 
to a report described in subsection (b)(1) or information related to 
compliance with subsections (a), (b), or (c) of this section or section 
4980D(g) by such issuer, plan, or entity.
    ``(e) Definitions.--In this section:
            ``(1) Applicable entity.--The term `applicable entity' 
        means--
                    ``(A) an applicable group purchasing organization, 
                drug manufacturer, distributor, wholesaler, rebate 
                aggregator (or other purchasing entity designed to 
                aggregate rebates), or associated third party;
                    ``(B) any subsidiary, parent, affiliate, or 
                subcontractor of a group health plan, health insurance 
                issuer, entity that provides pharmacy benefit 
                management services on behalf of such a plan or issuer, 
                or any entity described in subparagraph (A); or
                    ``(C) such other entity as the Secretary may 
                specify through rulemaking.
            ``(2) Applicable group purchasing organization.--The term 
        `applicable group purchasing organization' means a group 
        purchasing organization that is affiliated with or under common 
        ownership with an entity providing pharmacy benefit management 
        services.
            ``(3) Contracted compensation.--The term `contracted 
        compensation' means the sum of any ingredient cost and 
        dispensing fee for a drug (inclusive of the out-of-pocket costs 
        to the participant or beneficiary), or another analogous 
        compensation structure that the Secretary may specify through 
        regulations.
            ``(4) Gross spending.--The term `gross spending', with 
        respect to prescription drug benefits under a group health 
        plan, means the amount spent by a group health plan on 
        prescription drug benefits, calculated before the application 
        of rebates, fees, alternative discounts, or other remuneration.
            ``(5) Net spending.--The term `net spending', with respect 
        to prescription drug benefits under a group health plan, means 
        the amount spent by a group health plan on prescription drug 
        benefits, calculated after the application of rebates, fees, 
        alternative discounts, or other remuneration.
            ``(6) Plan sponsor.--The term `plan sponsor' has the 
        meaning given such term in section 3(16)(B) of the Employee 
        Retirement Income Security Act of 1974 (29 U.S.C. 1002(16)(B)).
            ``(7) Remuneration.--The term `remuneration' has the 
        meaning given such term by the Secretary, through rulemaking, 
        which shall be reevaluated by the Secretary every 5 years.
            ``(8) Specified large employer.--The term `specified large 
        employer' means, in connection with a group health plan 
        established or maintained by a single employer, with respect to 
        a calendar year or a plan year, as applicable, an employer who 
        employed an average of at least 100 employees on business days 
        during the preceding calendar year or plan year and who employs 
        at least 1 employee on the first day of the calendar year or 
        plan year.
            ``(9) Specified large plan.--The term `specified large 
        plan' means a group health plan established or maintained by a 
        plan sponsor described in clause (ii) or (iii) of section 
        3(16)(B) of the Employee Retirement Income Security Act of 1974 
        (29 U.S.C. 1002(16)(B)) that had an average of at least 100 
        participants on business days during the preceding calendar 
        year or plan year, as applicable.
            ``(10) Wholesale acquisition cost.--The term `wholesale 
        acquisition cost' has the meaning given such term in section 
        1847A(c)(6)(B) of the Social Security Act (42 U.S.C. 1395w-
        3a(c)(6)(B)).'';
            (2) Exception for certain group health plans.--Section 
        9831(a)(2) of the Internal Revenue Code of 1986 is amended by 
        inserting ``other than with respect to section 9826,'' before 
        ``any group health plan''.
            (3) Enforcement.--Section 4980D of the Internal Revenue 
        Code of 1986 is amended by adding at the end the following new 
        subsection:
    ``(g) Application to Requirements Imposed on Certain Entities 
Providing Pharmacy Benefit Management Services.--In the case of any 
requirement under section 9826 that applies with respect to an entity 
providing pharmacy benefit management services on behalf of a group 
health plan, any reference in this section to such group health plan 
(and the reference in subsection (e)(1) to the employer) shall be 
treated as including a reference to such entity.''.
            (4) Clerical amendment.--The table of sections for 
        subchapter B of chapter 100 of the Internal Revenue Code of 
        1986 is amended by adding at the end the following new item:

``Sec. 9826. Oversight of entities that provide pharmacy benefit 
                            management services.''.

SEC. 902. FULL REBATE PASS THROUGH TO PLAN; EXCEPTION FOR INNOCENT PLAN 
              FIDUCIARIES.

    (a) In General.--Section 408(b)(2) of the Employee Retirement 
Income Security Act of 1974 (29 U.S.C. 1108(b)(2)) is amended--
            (1) in subparagraph (B)(viii)--
                    (A) by redesignating subclauses (II) through (IV) 
                as subclauses (III) through (V), respectively;
                    (B) in subclause (I)--
                            (i) by striking ``subclause (II)'' and 
                        inserting ``subclause (III)''; and
                            (ii) by striking ``subclauses (II) and 
                        (III)'' and inserting ``subclauses (III) and 
                        (IV)''; and
                    (C) by inserting after subclause (I) the following:
            ``(II) Pursuant to subsection (a), subparagraphs (C) and 
        (D) of section 406(a)(1) shall not apply to a responsible plan 
        fiduciary, notwithstanding any failure to remit required 
        amounts under subparagraph (C)(i), if the following conditions 
        are met:
                    ``(aa) The responsible plan fiduciary did not know 
                that the covered service provider failed or would fail 
                to make required remittances and reasonably believed 
                that the covered service provider remitted such 
                required amounts.
                    ``(bb) The responsible plan fiduciary, upon 
                discovering that the covered service provider failed to 
                remit the required amounts, requests in writing that 
                the covered service provider remit such amounts.
                    ``(cc) If the covered service provider fails to 
                comply with a written request described in subclause 
                (III) within 90 days of the request, the responsible 
                plan fiduciary notifies the Secretary of the covered 
                service provider's failure, in accordance with 
                subclauses (III) and (IV).''; and
            (2) by adding at the end the following:
            ``(C)(i)(I) For plan years beginning on or after the date 
        that is 30 months after the date of enactment of this 
        subparagraph (referred to in this clause as the `effective 
        date'), no contract or arrangement or renewal or extension of a 
        contract or arrangement, entered into on or after the effective 
        date, for services between a covered plan and a covered service 
        provider, through a health insurance issuer offering group 
        health insurance coverage, a third party administrator, an 
        entity providing pharmacy benefit management services, or other 
        entity, for pharmacy benefit management services, is reasonable 
        within the meaning of this paragraph unless such entity 
        providing pharmacy benefit management services--
                    ``(aa) remits 100 percent of rebates, fees, 
                alternative discounts, and other remuneration received 
                from any applicable entity that are related to 
                utilization of drugs or drug spending under such health 
                plan or health insurance coverage, to the group health 
                plan or health insurance issuer offering group health 
                insurance coverage; and
                    ``(bb) does not enter into any contract for 
                pharmacy benefit management services on behalf of such 
                a plan or coverage, with an applicable entity unless 
                100 percent of rebates, fees, alternative discounts, 
                and other remuneration received under such contract 
                that are related to the utilization of drugs or drug 
                spending under such group health plan or health 
                insurance coverage are remitted to the group health 
                plan or health insurance issuer by the entity providing 
                pharmacy benefit management services.
            ``(II) Nothing in subclause (I) shall be construed to 
        affect the term of a contract or arrangement, as in effect on 
        the effective date (as described in such subclause), except 
        that such subclause shall apply to any renewal or extension of 
        such a contract or arrangement entered into on or after such 
        effective date, as so described.
            ``(ii) With respect to such rebates, fees, alternative 
        discounts, and other remuneration--
                    ``(I) the rebates, fees, alternative discounts, and 
                other remuneration under clause (i)(I) shall be--
                            ``(aa) remitted--
                                    ``(AA) on a quarterly basis, to the 
                                group health plan or the group health 
                                insurance issuer, not later than 90 
                                days after the end of each quarter; or
                                    ``(BB) in the case of an 
                                underpayment in a remittance for a 
                                prior quarter, as soon as practicable, 
                                but not later than 90 days after notice 
                                of the underpayment is first given;
                            ``(bb) fully disclosed and enumerated to 
                        the group health plan or health insurance 
                        issuer; and
                            ``(cc) returned to the covered service 
                        provider for pharmacy benefit management 
                        services on behalf of the group health plan if 
                        any audit by a plan sponsor, issuer or a third 
                        party designated by a plan sponsor, indicates 
                        that the amounts received are incorrect after 
                        such amounts have been paid to the group health 
                        plan or health insurance issuer;
                    ``(II) the Secretary may establish procedures for 
                the remittance of rebates fees, alternative discounts, 
                and other remuneration under subclause (I)(aa) and the 
                disclosure of rebates, fees, alternative discounts, and 
                other remuneration under subclause (I)(bb); and
                    ``(III) the records of such rebates, fees, 
                alternative discounts, and other remuneration shall be 
                available for audit by the plan sponsor, issuer, or a 
                third party designated by a plan sponsor, not less than 
                once per plan year.
            ``(iii) To ensure that an entity providing pharmacy benefit 
        management services is able to meet the requirements of clause 
        (ii)(I), a rebate aggregator (or other purchasing entity 
        designed to aggregate rebates) and an applicable group 
        purchasing organization shall remit such rebates to the entity 
        providing pharmacy benefit management services not later than 
        45 days after the end of each quarter.
            ``(iv) A third-party administrator of a group health plan, 
        a health insurance issuer offering group health insurance 
        coverage, or a covered service provider for pharmacy benefit 
        management services under such health plan or health insurance 
        coverage shall make rebate contracts with rebate aggregators or 
        drug manufacturers available for audit by such plan sponsor or 
        designated third party, subject to reasonable restrictions (as 
        determined by the Secretary) on confidentiality to prevent re-
        disclosure of such contracts or use of such information in 
        audits for purposes unrelated to this section.
            ``(v) Audits carried out under clauses (ii)(III) and (iv) 
        shall be performed by an auditor selected by the responsible 
        plan fiduciary. Payment for such audits shall not be made, 
        whether directly or indirectly, by the entity providing 
        pharmacy benefit management services.
            ``(vi) Nothing in this subparagraph shall be construed to--
                    ``(I) prohibit reasonable payments to entities 
                offering pharmacy benefit management services for bona 
                fide services using a fee structure not described in 
                this subparagraph, provided that such fees are 
                transparent and quantifiable to group health plans and 
                health insurance issuers;
                    ``(II) require a third-party administrator of a 
                group health plan or covered service provider for 
                pharmacy benefit management services under such health 
                plan or health insurance coverage to remit bona fide 
                service fees to the group health plan;
                    ``(III) limit the ability of a group health plan or 
                health insurance issuer to pass through rebates, fees, 
                alternative discounts, and other remuneration to the 
                participant or beneficiary; or
                    ``(IV) modify the requirements for the creation, 
                receipt, maintenance, or transmission of protected 
                health information under the privacy regulations 
                promulgated under the Health Insurance Portability and 
                Accountability Act of 1996 in part 160 and subparts A 
                and E of part 164 of title 45, Code of Federal 
                Regulations (or successor regulations).
            ``(vii) For purposes of this subparagraph--
                    ``(I) the terms `applicable entity' and `applicable 
                group purchasing organization' have the meanings given 
                such terms in section 726(e);
                    ``(II) the terms `covered plan', `covered service 
                provider', and `responsible plan fiduciary' have the 
                meanings given such terms in subparagraph (B); and
                    ``(III) the terms `group health insurance 
                coverage', `health insurance coverage', and `health 
                insurance issuer' have the meanings given such terms in 
                section 733.''.
    (b) Rule of Construction.--Subclause (II)(aa) of section 
408(b)(2)(B)(viii) of the Employee Retirement Income Security Act of 
1974 (29 U.S.C. 1108(b)(2)(B)(viii)), as amended by subsection (a), 
shall not be construed to relieve or limit a responsible plan fiduciary 
from the duty to monitor the practices of any covered service provider 
that contracts with the applicable covered plan, including for the 
purposes of ensuring the reasonableness of compensation. For purposes 
of this subsection, the terms ``covered plan'', ``covered service 
provider'', and ``responsible plan fiduciary'' have the meanings given 
such terms in section 408(b)(2)(B)(ii) of the Employee Retirement 
Income Security Act of 1974 (29 U.S.C. 1108(b)(2)(B)(ii)).
    (c) Clarification of Covered Service Provider.--
            (1) Services.--
                    (A) In general.--Section 408(b)(2)(B)(ii)(I)(bb) of 
                the Employee Retirement Income Security Act of 1974 (29 
                U.S.C. 1108(b)(2)(B)(ii)(I)(bb)) is amended--
                            (i) in subitem (AA) by striking ``Brokerage 
                        services,'' and inserting ``Services (including 
                        brokerage services),''; and
                            (ii) in subitem (BB)--
                                    (I) by striking ``Consulting,'' and 
                                inserting ``Other services,''; and
                                    (II) by striking ``related to the 
                                development or implementation of plan 
                                design'' and all that follows through 
                                the period at the end and inserting 
                                ``including any of the following: plan 
                                design, insurance or insurance product 
                                selection (including vision and 
                                dental), recordkeeping, medical 
                                management, benefits administration 
                                selection (including vision and 
                                dental), stop-loss insurance, pharmacy 
                                benefit management services, wellness 
                                design and management services, 
                                transparency tools, group purchasing 
                                organization agreements and services, 
                                participation in and services from 
                                preferred vendor panels, disease 
                                management, compliance services, 
                                employee assistance programs, or third 
                                party administration services, or 
                                consulting services related to any such 
                                services.''.
                    (B) Sense of congress.--It is the sense of Congress 
                that the amendment made by subparagraph (A) clarifies 
                the existing requirement of covered service providers 
                with respect to services described in section 
                408(b)(2)(B)(ii)(I)(bb)(BB) of the Employee Retirement 
                Income Security Act of 1974 (29 U.S.C. 
                1108(b)(2)(B)(ii)(I)(bb)(BB)) that were in effect since 
                the application date described in section 202(e) of the 
                No Surprises Act (Public Law 116-260; 29 U.S.C. 1108 
                note), and does not impose any additional requirement 
                under section 408(b)(2)(B) of such Act.
            (2) Certain arrangements for pharmacy benefit management 
        services considered as indirect.--
                    (A) In general.--Section 408(b)(2)(B)(i) of the 
                Employee Retirement Income Security Act of 1974 (29 
                U.S.C. 1108(b)(2)(B)(i)) is amended--
                            (i) by striking ``requirements of this 
                        clause'' and inserting ``requirements of this 
                        subparagraph''; and
                            (ii) by adding at the end the following: 
                        ``For purposes of applying section 406(a)(1)(C) 
                        with respect to a transaction described under 
                        this subparagraph or subparagraph (C), a 
                        contract or arrangement for services between a 
                        covered plan and an entity providing services 
                        to the plan, including a health insurance 
                        issuer providing health insurance coverage in 
                        connection with the covered plan, in which such 
                        entity contracts, in connection with such plan, 
                        with a service provider for pharmacy benefit 
                        management services, shall be considered an 
                        indirect furnishing of goods, services, or 
                        facilities between the covered plan and the 
                        service provider for pharmacy benefit 
                        management services acting as the party in 
                        interest.''.
                    (B) Health insurance issuer and health insurance 
                coverage defined.--Section 408(b)(2)(B)(ii)(I)(aa) of 
                such Act (29 U.S.C. 1108(b)(2)(B)(ii)(I)(aa)) is 
                amended by inserting before the period at the end ``and 
                the terms `health insurance coverage' and `health 
                insurance issuer' have the meanings given such terms in 
                section 733(b)''.
                    (C) Technical amendment.--Section 
                408(b)(2)(B)(ii)(I)(aa) of the Employee Retirement 
                Income Security Act of 1974 (29 U.S.C. 
                1108(b)(2)(B)(ii)(I)(aa)) is amended by inserting 
                ``in'' after ``defined''.

SEC. 903. INCREASING TRANSPARENCY IN GENERIC DRUG APPLICATIONS.

    (a) In General.--Section 505(j)(3) of the Federal Food, Drug, and 
Cosmetic Act (21 U.S.C. 355(j)(3)) is amended by adding at the end the 
following:
    ``(H)(i) Upon request (in controlled correspondence or an analogous 
process) by a person that has submitted or intends to submit an 
abbreviated application under this subsection for a drug that is 
required by regulation to contain one or more of the same inactive 
ingredients in the same concentrations as the listed drug referred to, 
or for which the Secretary determines there is a scientific 
justification for an approach that is in vitro, in whole or in part, to 
be used to demonstrate bioequivalence for a drug if such a drug 
contains one or more of the same inactive ingredients in the same 
concentrations as the listed drug referred to, the Secretary shall 
inform the person whether such drug is qualitatively and quantitatively 
the same as the listed drug. The Secretary may also provide such 
information to such a person on the Secretary's own initiative during 
the review of an abbreviated application under this subsection for such 
drug.
    ``(ii) Notwithstanding section 301(j), if the Secretary determines 
that such drug is not qualitatively or quantitatively the same as the 
listed drug, the Secretary shall identify and disclose to the person--
            ``(I) the ingredient or ingredients that cause such drug 
        not to be qualitatively or quantitatively the same as the 
        listed drug; and
            ``(II) for any ingredient for which there is an identified 
        quantitative deviation, the amount of such deviation.
    ``(iii) If the Secretary determines that such drug is qualitatively 
and quantitatively the same as the listed drug, the Secretary shall not 
change or rescind such determination after the submission of an 
abbreviated application for such drug under this subsection unless--
            ``(I) the formulation of the listed drug has been changed 
        and the Secretary has determined that the prior listed drug 
        formulation was withdrawn for reasons of safety or 
        effectiveness; or
            ``(II) the Secretary makes a written determination that the 
        prior determination must be changed because an error has been 
        identified.
    ``(iv) If the Secretary makes a written determination described in 
clause (iii)(II), the Secretary shall provide notice and a copy of the 
written determination to the person making the request under clause 
(i).
    ``(v) The disclosures authorized under clauses (i) and (ii) are 
disclosures authorized by law, including for purposes of section 1905 
of title 18, United States Code. This subparagraph shall not otherwise 
be construed to authorize the disclosure of nonpublic qualitative or 
quantitative information about the ingredients in a listed drug, or to 
affect the status, if any, of such information as trade secret or 
confidential commercial information for purposes of section 301(j) of 
this Act, section 552 of title 5, United States Code, or section 1905 
of title 18, United States Code.''.
    (b) Guidance.--
            (1) In general.--Not later than one year after the date of 
        enactment of this Act, the Secretary of Health and Human 
        Services shall issue draft guidance, or update guidance, 
        describing how the Secretary will determine whether a drug is 
        qualitatively and quantitatively the same as the listed drug 
        (as such terms are used in section 505(j)(3)(H) of the Federal 
        Food, Drug, and Cosmetic Act, as added by subsection (a)), 
        including with respect to assessing pH adjusters.
            (2) Process.--In issuing guidance under this subsection, 
        the Secretary of Health and Human Services shall--
                    (A) publish draft guidance;
                    (B) provide a period of at least 60 days for 
                comment on the draft guidance; and
                    (C) after considering any comments received and not 
                later than one year after the close of the comment 
                period on the draft guidance, publish final guidance.
    (c) Applicability.--Section 505(j)(3)(H) of the Federal Food, Drug, 
and Cosmetic Act, as added by subsection (a), applies beginning on the 
date of enactment of this Act, irrespective of the date on which the 
guidance required by subsection (b) is finalized.

SEC. 904. TITLE 35 AMENDMENTS.

    (a) In General.--Section 271(e) of title 35, United States Code, is 
amended--
            (1) in paragraph (2)(C), in the flush text following clause 
        (ii), by adding at the end the following: ``With respect to a 
        submission described in clause (ii), the act of infringement 
        shall extend to any patent that claims the biological product, 
        a method of using the biological product, or a method or 
        product used to manufacture the biological product.''; and
            (2) by adding at the end the following:
    ``(7)(A) Subject to subparagraphs (C), (D), and (E), if the sponsor 
of an approved application for a reference product, as defined in 
section 351(i) of the Public Health Service Act (42 U.S.C. 262(i)) 
(referred to in this paragraph as the `reference product sponsor'), 
brings an action for infringement under this section against an 
applicant for approval of a biological product under section 351(k) of 
such Act that references that reference product (referred to in this 
paragraph as the `subsection (k) applicant'), the reference product 
sponsor may assert in the action a total of not more than 20 patents of 
the type described in subparagraph (B), not more than 10 of which shall 
have issued after the date specified in section 351(l)(7)(A) of such 
Act.
    ``(B) The patents described in this subparagraph are patents that 
satisfy each of the following requirements:
            ``(i) Patents that claim the biological product that is the 
        subject of an application under section 351(k) of the Public 
        Health Service Act (42 U.S.C. 262(k)) (or a use of that 
        product) or a method or product used in the manufacture of such 
        biological product.
            ``(ii) Patents that are included on the list of patents 
        described in paragraph (3)(A) of section 351(l) of the Public 
        Health Service Act (42 U.S.C. 262(l)), including as provided 
        under paragraph (7) of such section 351(l).
            ``(iii) Patents that--
                    ``(I) have an actual filing date of more than 4 
                years after the date on which the reference product is 
                approved; or
                    ``(II) include a claim to a method in a 
                manufacturing process that is not used by the reference 
                product sponsor.
    ``(C) The court in which an action described in subparagraph (A) is 
brought may increase the number of patents limited under that 
subparagraph--
            ``(i) if the request to increase that number is made 
        without undue delay; and
            ``(ii)(I) if the interest of justice so requires; or
            ``(II) for good cause shown, which--
                    ``(aa) shall be established if the subsection (k) 
                applicant fails to provide information required under 
                section 351(k)(2)(A) of the Public Health Service Act 
                (42 U.S.C. 262(k)(2)(A)) that would enable the 
                reference product sponsor to form a reasonable belief 
                with respect to whether a claim of infringement under 
                this section could reasonably be asserted; and
                    ``(bb) may be established--
                            ``(AA) if there is a material change to the 
                        biological product (or process with respect to 
                        the biological product) of the subsection (k) 
                        applicant that is the subject of the 
                        application;
                            ``(BB) if, with respect to a patent on the 
                        supplemental list described in section 
                        351(l)(7)(A) of Public Health Service Act (42 
                        U.S.C. 262(l)(7)(A)), the patent would have 
                        issued before the date specified in such 
                        section 351(l)(7)(A) but for the failure of the 
                        Office to issue the patent or a delay in the 
                        issuance of the patent, as described in 
                        paragraph (1) of section 154(b) and subject to 
                        the limitations under paragraph (2) of such 
                        section 154(b); or
                            ``(CC) for another reason that shows good 
                        cause, as determined appropriate by the court.
    ``(D) In determining whether good cause has been shown for the 
purposes of subparagraph (C)(ii)(II), a court may consider whether the 
reference product sponsor has provided a reasonable description of the 
identity and relevance of any information beyond the subsection (k) 
application that the court believes is necessary to enable the court to 
form a belief with respect to whether a claim of infringement under 
this section could reasonably be asserted.
    ``(E) The limitation imposed under subparagraph (A)--
            ``(i) shall apply only if the subsection (k) applicant 
        completes all actions required under paragraphs (2)(A), 
        (3)(B)(ii), (5), (6)(C)(i), (7), and (8)(A) of section 351(l) 
        of the Public Health Service Act (42 U.S.C. 262(l)); and
            ``(ii) shall not apply with respect to any patent that 
        claims, with respect to a biological product, a method for 
        using that product in therapy, diagnosis, or prophylaxis, such 
        as an indication or method of treatment or other condition of 
        use.''.
    (b) Applicability.--The amendments made by subsection (a) shall 
apply with respect to an application submitted under section 351(k) of 
the Public Health Service Act (42 U.S.C. 262(k)) on or after the date 
of enactment of this Act.

                         TITLE X--MISCELLANEOUS

SEC. 1001. TWO-YEAR EXTENSION OF SAFE HARBOR FOR ABSENCE OF DEDUCTIBLE 
              FOR TELEHEALTH.

    (a) In General.--Section 223(c)(2)(E)(ii) of the Internal Revenue 
Code of 1986 is amended by striking ``January 1, 2025'' and inserting 
``January 1, 2027''.
    (b) Effective Date.--The amendments made by this section shall 
apply to plan years beginning after December 31, 2024.
                                 <all>