Loading...
HomeMy WebLinkAbout04-28 JULY, 2007 IN REVIEWING THIS FILE, IT WAS DETERMINED THAT AN EXECUTED COPY OF THE AGREEMENT LISTED BELOW WAS NEVER RETURNED TO THE CLERK'S OFFICE. ALL THAT IS AVAILABLE IS THE ATTACHED DRAFT COPY OF THE AGREEMENT AND ITS SUPPORTING PAPERWORK. REFERENCE: RESOLUTION NO. 04-28 PASSED: FEBRUARY 11, 2004 SUBJECT: AGREEMENT WITH NATIONAL MEDICAL HEALTH CARD SYSTEMS, INC. FOR PHARMACY BENEFITS MANAGEMENT FOR THE PERIOD BETWEEN MARCH 1, 2004 THROUGH FEBRUARY 28, 2007 7 SPEED MESSAGE TO -- FROM I t"~-?,. . ; - T _ � :-4- ,..% i i ' j ` r SUBJECT � (i. ,- . -. 1 - j- DATE l; ! rr ff k t / f L f y 0 a i i1 ✓ -f," E 3 I a N m O - - a m 0 r SIGNED INWilsonJonese WHITE-ORIGINAL CANARY-DUPLICATE 44-900•Duplicate Resolution No. 04-28 RESOLUTION AUTHORIZING EXECUTION OF AN AGREEMENT WITH NATIONAL MEDICAL HEALTH CARD SYSTEMS, INC. FOR PHARMACY BENEFITS MANAGEMENT BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF ELGIN,ILLINOIS,that David M.Dorgan, City Manager,be and is hereby authorized and directed to execute an agreement on behalf of the City of Elgin with National Medical Health Card Systems, Inc. for pharmacy benefits management for the period March 1, 2004 through February 28, 2007, a copy of which is attached hereto and made a part hereof by reference. s/Ed Schock Ed Schock, Mayor Presented: February 11, 2004 Adopted: February 11, 2004 Vote: Yeas: 6 Nays: 0 Attest: • s/Dolonna Mecum Dolonna Mecum, City Clerk • ruk Resolution No. 04-28 RESOLUTION AUTHORIZING EXECUTION OF AN AGREEMENT WITH NATIONAL MEDICAL HEALTH CARD SYSTEMS, INC. FOR PHARMACY BENEFITS MANAGEMENT BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF ELGIN,ILLINOIS,that David M. Dorgan, City Manager,be and is hereby authorized and directed to execute an agreement on behalf of the City of Elgin with National Medical Health Card Systems, Inc. for pharmacy benefits management for the period March 1, 2004 through February 28, 2007, a copy of which is attached hereto and made a part hereof by reference. Ed Schock, Mayor Presented: February 11, 2004 Adopted: Vote: Yeas Nays: Recorded: Attest: eimk Dolonna Mecum, City Clerk r NATIONAL MEDICAL HEALTH CARD SYSTEMS,INC. PHARMACY BENEFITS MANAGEMENT AGREEMENT THIS PHARMACY BENEFITS MANAGEMENT AGREEMENT entered into as of the day of "Member Pharmacy Agreement" means the agreement entered 200_, and effective March 1, 2004 (the "Effective Date"),by and into between the Manager and the Member Pharmacy. between NATIONAL MEDICAL HEALTH CARD SYSTEMS, INC. with a principal office at 26 Harbor Park Drive, Port "Non-Member Pharmacy" means a pharmacy that does not Washington,NY 11050(hereinafter referred to as the "Manager") participate in the Plan. and CITY OF ELGIN with a principal office at 150 Dexter Court, Elgin,IL 60120(hereinafter referred to as the"Client"). "Out-of-Network Claim Form" means a claim form that is approved by the Manager and the Client and is utilized when RECITALS: filling a prescription at a Non-Member Pharmacy. WHEREAS,the Client desires to provide a prescription drug plan "Semi-Monthly Account Statement" means a statement provided (hereinafter referred to as the "Plan") to Eligible by the Manager to the Client on the 15th and the last day of the Employees/Members(as hereinafter defined); month, which details various claim and billing information in addition to Managerial Fees (as defined herein) incurred for a WHEREAS, the Manager has developed a system for paying specific period. claims and furnishing other related services through a network of pharmacies and mail order facilities based upon a specific plan "Specialty Drugs " means those biotech and other prescription design(hereinafter referred to as the "System")for the purpose of drug products identified on Exhibit D that require special ordering, managing the Plan;and handling and/or Member services. WHEREAS, the Client desires to engage the Manager for SECTION 2. PLAN TO BE MANAGED. 14111) purposes of managing the Plan on behalf of the Client through the use of the System, and the Manager desires to provide such 2.1 Plan Design. (a) Within a reasonable time prior to the services to the Client. effective date of the Plan, the Client shall furnish the Manager with the details of the Plan. This information must be complete NOW, THEREFORE, in consideration of the mutual promises and accurate and in a format and media approved by the Manager. hereinafter contained,the parties agree as follows: The Manager and the Member Pharmacies are entitled to rely on the accuracy and completeness of this information. This SECTION 1. DEFINITIONS. For purposes of this information shall include the following (collectively, the "Plan Agreement,the following terms shall be defined as follows: Design"): "Claim Voucher" means the voucher that is utilized by a Member (i) the proposed effective date of the Plan; pharmacy when filling a prescription that is not communicated electronically. (ii) enrollee file data required to administer the Plan including but not limited to the classes of dependents covered, "DUR"means the concurrent and/or retrospective drug utilization including any age limits applicable to dependent children; review programs used by the Manager. (iii) estimated number of Eligible Employees, listed by "Eligible Employee" or "Member" means an employee of the location; Client, or a dependent of such employee, who has met the criteria required to become a participant in the Plan. (iii) basis by which payments are determined when prescriptions are furnished by both Member and Non-Member "Member Identification Card" means an identification card issued Pharmacies; to each Plan Member. (iv) expiration date of the Plan,if applicable; "Member Pharmacy" means a pharmacy that has entered into a Member Pharmacy Agreement with the Manager and is a (v) the amount of deductible and co-payments,if any; participating pharmacy under the Plan. C:\Documents and Settings\Folarin_f007\Local Settings\Temporary Internet Files\Content.1E5\EXW5KPU5\PBM Agreement-City of Elgin[I l.doc (vi) manner of distribution of NMHC cards, if any, to reimbursement provided pursuant to this Section 2.3 shall be Members; based upon the same schedule in effect for Member Pharmacies. a list of names of all persons to be covered under the (b) The Plan shall provide that if the Plan reimburses a Plan(the"Enrollment Roster"); Member for the cost of prescription drugs purchased at non Member Pharmacies, such benefits payable under the Plan are not (viii) a description of drugs that are included and excluded assignable to a third party and any assignment or attempted from the Plan. assignment thereof shall be null and void. (ix) prescriber file data, if any, required to administer the SECTION 3. SERVICES. Plan;and 3.1 The Manager shall manage the Plan, including the (x) other information relevant to the benefit Plan Design as provision of the following products and services to the Client(the the Manager may reasonably request for the effectual operation of "Services"): the System. (a) provide Member Pharmacies that are available to (b) Based on the Plan Design and other information dispense medication to Members in agreed upon geographic areas; provided by the Client, the Manager shall create and maintain computerized files containing the current Plan Design. (b) furnish each Member Pharmacy with a description of the Plan; 2.2 Benefit Design or Members Changes. (a) The Client is responsible for notifying the Manager immediately by written (c) require Member Pharmacies to comply with the terms of notice of any changes or updates in the Plan or Enrollment Roster. the Manager's Member Pharmacy Agreement; Such changes or updates shall be implemented by the Manager within three (3) business days of such notification, provided, (d) process Claim Vouchers and/or electronic claims however,that if the change or update necessitates operating system received from Member Pharmacies; software modification, the Manager shall advise the Client of the estimated time and additional cost(if any)to the Client required to (e) process completed Out-of-Network Claim Forms rhe such software modifications,and the parties shall agree upon received from Members for prescriptions which have been .mplementation date of such change. The Client shall be furnished by Non-Member Pharmacies; solely responsible for ensuring that any such change or update complies with the terms of the Plan and any contracts between the (f) determine whether claims submitted qualify for Client and its Members. If such changes have a material impact reimbursement in accordance with the terms of the Plan and the on the Manager's obligations under this Agreement, then the payment applicable for such claim; Client agrees to negotiate in good faith appropriate relief for the Manager. (g) return unacceptable Claim Vouchers and claim forms to the submitting party, pursuant to the System and in accordance (b) The Client is solely responsible for any liability arising in with applicable law; connection with the Client's Plan Design. The Manager makes no representation or warranty that the Plan Design selected by the (h) perform electronic edits to validate pharmacy submitted Client is in compliance with any law that applies to the Client,and cost and reimbursement monies based upon Member Pharmacy the Manager has no responsibility to advise the Client about contracted price; Client's compliance with any applicable law. (i) fill Member prescriptions through the mail order (c) The Client shall be liable for all incurred charges under pharmacy' the Plan relating to the unauthorized or fraudulent use of a Member's identification card unless the charges incurred were due 0) fill Specialty Drugs through the specialty pharmacy (a to the failure by the Manager to implement the required copy of the list of Specialty Drugs is attached hereto as Exhibit D, updates/changes within the time period specified in Subsection which may be modified from time to time as other specialty drug 2.2(a). products become available);and 2.3 Non-Member Pharmacy Reimbursement. (a) If the Plan (k) furnish the Client with a Semi-Monthly Account provides for reimbursement to a Member of some or all of the cost Statement which sets forth a summary of cost of claims to the Plan of prescription drugs purchased at Non-Member Pharmacies,then during the preceding period. Such summary shall indicate the total Plan shall provide for such reimbursement only upon the number of claims and the cost to the Plan and shall include such nission of an Out-Of-Network Claim Form. The level of other data and be in such form as agreed upon by the parties, provided that such form is compatible with the System. 2 3.2 The Manager shall follow the grievance and appeals (ii) the Manager has and may continue to consult with procedures established by the Plan for its Members. In all cases, outside software and other vendors, as well as consulting healt the Plan shall remain the fmal arbiters of grievances and appeals care professionals and any recognized compendia, to provid from Members. databases and other information as the Manager deems necessary or helpful to include in the DUR system; SECTION 4. ADDITIONAL AGREEMENTS AND ACKNOWLEDGMENTS. (iii) the DUR system may not contain all currently available information on accepted medical practice or prescribing practices. 4.1 Pharmacist Discretion. (a) The Manager, on behalf of the Client, shall advise Member Pharmacies that the information (b) The Manager shall update the DUR database or any other generated in connection with the DUR system is intended as an databases and reports upon which the Manager's Services are information guide and shall not be relied upon by the Member based upon. Pharmacies as a substitute for the professional judgment, knowledge, expertise, or skill of any physicians, pharmacists or (c) The Manager shall update the DUR system on a health care providers. reasonable basis to reflect changes in standards for pharmaceutical prescribing. (b) The Client acknowledges and agrees that the DUR system will provide information to the Member Pharmacies and 4.4 Prior Authorization. (a) The Manager will provide providers and that the Member Pharmacies or providers, may or the Client with its standard Prior Authorization Program. In may not, in their sole discretion,dispense prescriptions or provide determining whether to authorize dispensing of a drug under the other goods and services that correlate with the information they Prior Authorization Program, the Manager may rely entirely upon receive through the DUR system. Accordingly, the Manager information about the Member and the diagnosis of the Member's assumes no liability to the Client or any other person in connection condition provided to it from sources deemed reliable to the with the DUR process, including,without limitation, the failure of Manager at the time that the prescription is to be dispensed, and the DUR process to identify a prescription that results in injury to upon the Plan's adopted prior authorization protocols. The Client a Member. acknowledges that prior authorization programs are nondiscretionary processing techniques intended to provide better 4.2 Patient Information Limitations. The Client management of the prescription drug program based on objectiv acknowledges that the DUR system (i) is a highly automated criteria and the limited amount of patient information available t system, without individual review in most circumstances, and (ii) the Manager. The Manager shall not undertake, and is not is necessarily limited by the amount,accuracy and completeness of required hereunder, to determine medical necessity, data concerning Members inputted into the System or obtained appropriateness of therapies, to make diagnoses or substitute the from prescription claims and from information provided by the Manager's judgment for the professional judgment and Client. The Manager shall have no obligation to acquire responsibility of the prescriber. The Client shall indemnify and information regarding any Member beyond the information that is hold harmless the Manager, its employees, directors, officers, and included in the Manager's eligibility database or the submitted agents from and against any and all awards, losses, claims, suits, claim. Providers are individually responsible for acting or not damages, liability,judgments,fines,penalties,settlement amounts, acting upon information generated and transmitted through the and expenses, including reasonable attorneys fees (collectively, DUR services, and for performing services in each jurisdiction "Damages") arising from or as a result of the Manager's decision consistent with the scope of their licenses. In performing DUR to authorize or initially deny coverage of any such drug in services, the Manager will not, and is not required by this accordance with the Plan's adopted protocols,except to the extent Agreement to deny claims or require physician, pharmacist, or that any such Damages arise from the Manager's gross negligence patient compliance with any norm or suggested drug regimen, or or willful misconduct. in any way substitute the Manager's judgment for the professional judgment or responsibility of the physician or pharmacist. The (b) At the Client's request, the Manager will supply to the absence of a warning for a given drug or drug combination shall Client a list of suggested prior authorization criteria for review, not be construed to indicate that the drug or drug combination is modification, and/or adoption by the Client. The Client will have safe,appropriate,or effective for any Member. final approval over the criteria to be utilized that will be evidenced in writing by the Client. The Manager will administer the criteria 4.3 Database Limitations. (a) The Client acknowledges the as approved by the Client. No changes will be made to the criteria following: except pursuant to the Client's written request. From time to time, new information on a specific drug therapy may become available. (i) the DUR system is a collection of databases of clinical This new information may make it necessary or desirable to drug data and drug dispensing information developed and modify existing prior authorization criteria. The Manager will maintained in part by the Manager and in part by independent drug notify the Client of proposed changes to the criteria. If the Client database companies; does not wish to accept the proposed changes to the Prior 3 . Authorization criteria, the Client agrees to notify the Manager in The Manager shall have no fmal discretionary authority over or writing within ten business days and may terminate this Agreement responsibility for the Plan's administration. Further, because the rcordance with Sections 7 and 8, or adopt customized criteria Manager is not an insurer, plan sponsor, plan contract mutually agreed upon fee. After ten business days,the Client administrator, or a provider of health services to Members, the will be deemed to have approved any proposed changes to the Manager shall have no responsibility for (i) funding of Plan criteria unless it has notified the Manager in writing of its benefits; (ii) any insurance coverage relating to the Client, any objection as described herein. Plan contract administrator, the Plan or the Members; or(iii) the nature or quality of professional health services rendered to 4.5 Rebates. The Manager shall collect rebates on behalf of Members. In all cases, the Client shall have the fmal the Client as set forth in Exhibits A and B attached hereto. The responsibility for all decisions with respect to coverage of the Manager contracts with certain pharmaceutical manufacturers and prescription drug program and the benefits allowable thereunder, other third parties for rebate programs. The Client acknowledges including determining whether any rejected or disputed claim will that whether and to what extent manufacturers are willing to be allowed. provide rebates to the Client will depend upon the Plan Design adopted by the Client, as well as the Manager receiving sufficient 4.8 Drug Classification and Pricing. The Manager shall use information regarding each claim that is submitted to the latest edition of the First Data Bank Blue Book (with manufacturers for rebates. The Client acknowledges and agrees supplements),or the Medi-Span Master Drug Pricing Source(with that it shall not have a right to interest on,or the time value of,any supplements),or other industry comparable database,as the source rebate payments received by the Manager or monies payable under for purposes of pricing and classifying drugs(e.g.,legend vs.over this Agreement. In addition to any security required under Section the counter,brand vs.generic)in connection with this Agreement. 5.4, if any, the Manager may delay remittance of rebates to allow for fmal adjustments upon termination of this Agreement. The 4.9 Reports and Statements. The Client will review all Client waives, releases, and forever discharges the Manager from reports and statements provided by the Manager and will notify any claims, demands, losses, attorneys' fees, costs, expenses, or the Manager in writing of any errors or objections within 30 days liabilities of any nature,whether known or unknown, arising from of receipt. Until the Client notifies the manager of any errors or (i)a manufacturer's failure to pay any rebate;(ii)a manufacturer's objections,the Manager will be entitled to rely on the information breach of an agreement related to this Agreement; or (iii) a contained in the report or statements. If the Client does not notify manufacturer's negligence or misconduct. The Client the Manager of any errors or objections within the 30-day period, phgowledges that rebates will not be paid with respect to claims the information contained therein will be deemed accurate, mitted by Medicaid agencies or other federal or state complete,and acceptable to the Client. healthcare programs. 4.10 Compliance with Law;Change in Law. (a) Each party 4.6 Audits of Member Pharmacies. The Manager shall is responsible for ensuring its compliance with any laws and maintain criteria, which it may amend from time to time, to regulations applicable to its business. No party shall make establish when and how a Member Pharmacy shall be audited to payments or perform services under this Agreement that would be determine compliance with is agreement with the Manager. The prohibited by law. No part of this Agreement shall be construed to audit may be conducted by the Manager's internal auditors or its induce or encourage the referral of patients,and no payment made outside auditors, and at the pharmacy or at the Manger's by a pursuant to this Agreement of any other agreement between the review of electronically transmitted claims. To the extent the Manager and the Client shall be construed to induce the purchase, Manager determines as the result of its auditing procedures, that lease, order or arrangement for the furnishing of healthcare amounts have been overpaid to Member Pharmacies due to products or services. The Client shall be responsible for any pharmacy error or fraud, the Manager will make reasonable governmental or regulatory charges and taxes imposed on its attempts to collect such overpayments. Any collected prescription drug program, other than taxes based on the net overpayments will be paid to the Client. The Manager shall not be income of the Manager. If the Manager's performance of its required to institute litigation to collect any overpayments. The duties under this Agreement is made materially more burdensome Manager's obligations to attempt collection shall be the Manager's or expensive due to a change in federal, state or local laws or sole obligation and liability with respect to remedying such regulations, or the interpretation thereof, or an unforeseen change overpayments. in the industry, the parties shall negotiate an appropriate adjustment to the fees paid to the Manager. If the parties cannot 4.7 Client's Authority over Plan. The Client acknowledges agree on an adjusted fee, the Manager may terminate this that it has the sole authority to control and administer the Plan. Agreement. The Client further acknowledges that the Manager is engaged to perform services as an independent contractor and not as a (b) The Client shall ensure that its activities in regard to the fiduciary of the plan or as an employee or agent of the Client, or prescription drug program are in compliance with ERISA, if �wC plan contract administrator. Nothing in this Agreement shall applicable. The Client acknowledges and agrees that it is construed or deemed to confer upon the Manager any responsible for disclosing to its Members any and all information responsibility for or control over the terms or validity of the Plan. relating to the prescription drug program as required by law to be 4 disclosed, including any information relating to copayments, security in such amount and form as the Manager deems coinsurance and/or deductibles, any other program coverage and necessary. eligibility requirements in connection with the prescription drug program, and any other information concerning commissions, 5.5 If the Client is delinquent in payment, the Manager, aftt rebates,discounts,and price differentials. making a reasonable effort to collect and upon notice to the Client may,in addition to its remedies under this Agreement,at law or in 4.11 Exclusivity. The Client hereby grants the Manager equity, do any or all of the following: (i)suspend performance of during the term of this Agreement and any renewals hereof, the any or all of the manager's obligation under or in connection with exclusive right to provide the Services to the Client. The Client this Agreement, including the Manager's obligation to process further agrees that, during the term of this Agreement, and any claims; (ii) apply all or any portion of any security posted by the renewals hereof, it will not negotiate, contract, or agree with any Client with the Manager to the Client's delinquent account;or(iii) pharmaceutical manufacturer for the purpose of obtaining rebates set off against any amounts payable to the Client (including any or other discounts related to Members under this Agreement. The rebates the Manager receives from manufacturers on behalf of the Client also agrees to cancel any existing agreements or contracts Client)any amounts due from the Client. with any pharmaceutical manufacturers related to such rebates or discounts as of the effective date of this Agreement. In the event 5.6 The amount that the Client pays to the Manager under of a breach of this Section by the Client, the Manager may this Section 5 is not an asset of the Client's prescription benefit terminate this Agreement or the Client's participation in the plan. rebates and may retain 100% of any and all rebates that have not been remitted to the Client as the date of such termination. 5.7 In the event the Client fails to timely pay the Manager any amount for which the Client is obligated under this SECTION 5. PAYMENTS DUE. Agreement,the Client agrees to pay the Manager reasonable costs and expenses, including reasonable attorneys' fees incurred in 5.1 The Manager shall provide the Client with Semi-Monthly collecting such amounts and interest charges from the date the Account Statements, which shall include (i) the cost of claims for account statement was due at the rate of one and one-half percent prescriptions approved for payment under the Plan in accordance (1.5%)per month. to the pricing terms set forth in Exhibit B attached hereto and(ii) the amount due to the Manager for processing and paying claims SECTION 6. MAINTENANCE OF RECORDS;AUDIT. during the preceding period as outlined in Exhibit A attached hereto (the "Managerial Fee"). The Client agrees to make all 6.1 The Manager shall maintain in electronic form, curren payments by check or by wire transfer to the account set forth in files of all claims received, including any paper claims vouchers Exhibit C within five(5)business days from the date of the Semi- received from Member Pharmacies and Members for services Monthly Account Statement. rendered by Non-Member Pharmacies. The Manager shall also maintain adequate records to establish cost of drugs to the Client. 5.2 Any additional charges for special services, supplies, These records shall remain accessible to the Client for reports, etc. for which a separate fee is agreed to by the parties as examination and audit by the Client throughout the calendar year outlined in Exhibit A attached hereto, shall be remitted by the in which they are established and for six (6) calendar years Client within thirty(30) days after receipt of such Semi-Monthly thereafter. Such audits may be conducted, upon written notice, at Account Statement or other invoice by the Client from the reasonable intervals during the regular business hours of the Manager. Manager. All Claim Vouchers, claim forms and other records pertaining to the management of the Plan and the System are the 5.3 In the event the Client objects to any cost in the Semi- property of the Manager. Monthly Account Statement,the Client is still obligated to remit payment of the full payment amount to the Manager within 6.2 The Manager disclaims all liability arising out of the agreed upon payment terms. Within thirty(30)business days of Client's use or dissemination of the data, records, reports, the Client's receipt of the account statement, the Client shall summaries and other information provided by the Manager to the identify and fully explain the basis for such objections in writing Client under this Agreement. to the Manager. The Client and the Manager shall then work together to determine the validity of the claims to which the SECTION 7. TERMS OF AGREEMENT. Client has objected,and if the Client's objection is valid,a credit shall be given on the next Semi-Monthly Account Statement. 7.1 The effective date of this Agreement shall be the date first hereinabove written. 5.4 If at any time during the term of this Agreement, the Manager shall determine, in its sole judgment, that there are 7.2 This Agreement is for an initial term of three years from reasonable grounds for insecurity as to the ability of the Client to the Effective Date, and will automatically continue in effect for meet its financial commitments hereunder as they become due,the successive three-year terms thereafter,unless otherwise terminated Manager shall have the right to require the Client to provide pursuant to Sections 7 or 8 of this Agreement. 5 CONTAINED IN THE DATABASES AND HAS OBTAINED 7.3 In the event litigation proceedings are initiated by either SUCH INFORMATION FROM SOURCES BELIEVED TO BE left and/or an arbitration process is initiated,the losing party will RELIABLE. THE MANAGER, HOWEVER, DOES NOT id liable for legal fees expended by both parties. WARRANT THE ACCURACY OF REPORTS, ALERTS, CODES, PRICES, OR OTHER DATA CONTAINED IN THE SECTION 8. TERMINATION OF AGREEMENT. DATABASES. THE MANAGER DOES NOT WARRANT THAT ITS SERVICES WILL BE UNINTERRUPTED OR 8.1 Notwithstanding the provisions contained in Section 7.3 ERROR FREE. above, the Manager shall reserve the right to suspend services or terminate this Agreement upon the occurrence of any of the 9.2 The Manager does not direct or exercise any control over following events: the professional judgment exercised by any pharmacist in dispensing prescriptions or otherwise providing pharmaceutical (a) an irresolvable dispute over a fee increase, as described related services. Member Pharmacies are independent contractors in Section 7 above;or of the Manager, and the Manager shall have no liability to the Client, any Member, or any other person or entity for any act or (b) the failure of the Client to remit payments due to the omission of any Member Pharmacy or its agents or employees. Manager within five (5)business days in accordance with Section 5.1 above;or 9.3 The Client shall indemnify,defend and hold harmless the Manager, its officers, directors, stockholders, employees and 8.2 The Client shall notify the Manager by written notice agents from and against any and all claims, actions, demands, within two (2) business days after a finding of impairment or costs and expenses, including reasonable attorney fees and insolvency or an order to cease and desist from doing business disbursements, as a result of a breach by the Client of any of its from the Insurance Commission or other regulatory agency, and obligations under this Agreement or arising out of the negligent act upon receipt of such notice from the Client, the Manager shall or omission or willful misconduct of the Client. have the option to terminate this Agreement immediately. 9.4 The Manager shall indemnify, defend and hold harmless 8.3 Either party may terminate this Agreement upon a the Client, its officers, directors, stockholders, employees and material breach by the other party under this Agreement(except as agents from and against any and all claims, actions, demands, Aillikrwise set forth in Section 8.1 above) if such breach is not costs and expenses, including reasonable attorney fees and ,died within sixty(60) days following the receipt of a written disbursements, as a result of a breach by the Manager of any of its notice from the injured party specifying the nature of such breach. obligations under this Agreement or arising out of the negligent act or omission or willful misconduct of the Manager, subject to 8.4 Unless otherwise agreed to by the parties at the time of Sections 2.2(b), 4.3(b) and 6.2 and provided that, the Managers' termination, this Agreement shall continue to be operative with maximum liability to the Client, regardless of the form of action respect to obligations incurred hereunder prior to the date of and whether for damages, indemnification or otherwise, shall not termination, including, but not limited to any obligations in exceed the Average Monthly Fees of the Client. For purposes of connection with issued and unexpired Member Identification this Section 9.2, "Average Monthly Fees" shall mean the greater Cards issued by the Manager on behalf of the Client. of(i) the average of the aggregate Managerial Fees and all other optional service fees (if any) paid by the Client to the Manager SECTION 9. INDEMNIFICATION AND LIMITATIONS under this Agreement of the preceding three (3) month ON LIABILITY. immediately prior to the date in which the alleged damage or injury occurred (the "Injury Date") and (ii) the aggregate of the 9.1 Warranty. This Agreement is not a contract for the sale Managerial Fees and all other optional service fees (if any)paid of goods. The Manager will perform the Services in a good and by the Client under this Agreement during the month immediately workmanlike manner in accordance with the customs, practices, preceding the Injury Date. and standards of providers skilled in the industry. EXCEPT AS WARRANTED IN THIS SECTION 9.1, THE MANAGER 9.5 Neither the Manager nor any manufacturer or supplier of DISCLAIMS ALL EXPRESS AND ALL IMPLIED computer equipment and/or software or services shall be liable for WARRANTIES OF ANY KIND, INCLUDING THE any indirect, special, or consequential damages or lost profits, SUITABILITY FOR ANY PARTICULAR PURPOSE OF THE arising out of or related to performance of this Agreement or a DATA GENERATED THROUGH THE MANAGER'S breach of this Agreement,even if advised of the possibility of such SYSTEM. THE MANAGER RELIES ON FIRST DATA damages or lost profits. BANK, MEDI-SPAN, OR INDUSTRY COMPARABLE DATABASES IN PROVIDING CLIENT AND MEMBERS 9.6 The Manager (and its affiliates, directors, employees, NDRUG UTILIZATION REVIEW SERVICES. THE agents, successors or assigns) will not be liable for any claim AGER HAS UTILIZED DUE DILIGENCE IN which is asserted by the Client more than ninety days after the COLLECTING AND REPORTING THE INFORMATION Client is or reasonably should have been aware of such claim,and 6 will in no event be liable for any claim which is asserted by the to obtain or does not seek a protective order and the Receiving Client more than twelve months after the event resulting in Party is legally compelled to disclose such Confidential damages or loss. Information, disclosure of such Confidential Information may b made without liability. SECTION 10. CONFIDENTIALITY. (c) For purposes of this Agreement, "Confidential 10.1 The Manager and the Client each acknowledges that Information" means any data or information that is proprietary certain information, reports and data generated under this to the Disclosing Party and not generally known to the public, Agreement are subject to applicable confidentiality of medical whether in tangible or intangible form, whenever and however record laws, and the parties agree to comply in all respects with disclosed, including, but not limited to: (i) any marketing such laws. The Client represents that it has received or will obtain strategies, plans, financial information, or projections, Member consents and authorizations required, if any, for the operations, sales estimates, business plans and performance Manager to obtain, possess, and use prescription and medical results relating to the past,present or future business activities of information relating to the Members for the purposes described in such party, its affiliates, subsidiaries and affiliated companies; this Agreement, and for the Manager to contact Members, (ii)plans for products or services,and customer or supplier lists; Members' physicians, and Member Pharmacies in order to (iii) any scientific or technical information, invention, design, promote therapeutic and generic substitution opportunities and to process, procedure, formula, improvement, technology or perform any other services or activities contemplated by this method (iv) any concepts, reports, data, know-how, works-in- Agreement that may require such contact. Subject to Sections 10 progress, designs, development tools, specifications, computer and 11 of this Agreement, the Manager and the Client may use, software, source code, object code, flow charts, databases, reproduce, or adapt information obtained in connection with this inventions, information and trade secrets; and (v) any other Agreement, including claims information and eligibility information that should reasonably be recognized as confidential information, in any manner they deem appropriate, except that information of the Disclosing Party. Confidential Information each party and its agents, employees and contractors shall need not be novel,unique,patentable,copyrightable or constitute maintain the confidentiality of this information to the extent a trade secret in order to be designated Confidential Information. required by applicable law,and may not use the information in any The Receiving Party acknowledges that the Confidential way prohibited by law. The Manager shall retain full ownership Information is proprietary to the Disclosing Party, has been rights over all compilations, analyses, and reports prepared by the developed and obtained through great efforts by the Disclosing Manager. Party and that Disclosing Party regards all of its Confidential Information as trade secrets. 10.2 (a) The Manager and the Client each (d) Notwithstanding anything in the foregoing to the acknowledges that in the course of dealings between the parties, it(the"Receiving Party")may acquire Confidential Information contrary, Confidential Information shall not include information (as defined below) proprietary to the other party (the which: (i)was demonstrably known by the Receiving Party prior "Disclosing Party"). The Receiving Party agrees to use the to receiving the Confidential Information from the Disclosing Confidential Information solely in connection with the current or Party; (b)becomes rightfully known to the Receiving Party from contemplated business relationship between the parties and not a third party source under no obligation to Disclosing Party to for any purpose other than as authorized by this Agreement maintain confidentiality; (c) is or becomes publicly available without the prior written consent of an authorized representative through no fault of or failure to act by the Receiving Party in of the Disclosing Party. No other right or license, whether breach of this Agreement; (d) is required to be disclosed in a expressed or implied, in the Confidential Information is granted judicial or administrative proceeding,or is otherwise required to Confidential be disclosed by law, although the requirements of paragraph 4 to the Receiving Party hereunder. Title to the Con Information will remain solely in the Disclosing Party. hereof shall apply prior to any disclosure being made; and(e) is or has been independently developed by employees, consultants (b) Notwithstanding anything in the foregoing to the or agents of the Receiving Party without violation of the terms of contrary, the Receiving Party may disclose Confidential this Agreement or reference or access to any Confidential Information pursuant to any governmental, judicial, or Information. administrative order, subpoena, discovery request or similar SECTION 11. HIPAA COMPLIANCE. method, provided that the Receiving Party promptly notifies the Disclosing Party in writing of such demand for disclosure so that 11.1 As part of its continued efforts to comply with the Health the Disclosing Party, at its sole expense, may seek to make such Insurance Portability and Accountability Act of 1996 (HIPAA), disclosure subject to a protective order or other appropriate remedy to preserve the confidentiality of the Confidential the Manager hereby represents and covenants that on the Information. The Receiving Party agrees that it shall not oppose applicable compliance dates established by the Department of and shall cooperate with the Disclosing Party with respect to any Health and Human Services(HHS)or the United States Congress, such request for a protective order or other relief. it shall comply with (i) the requirements applicable to "business Notwithstanding the foregoing, if the Disclosing Party is unable associates" under 42 C.F.R. §164.504, and (ii) the electronic 7 transactions standards for the transmission of health information market share or other factors. The term rebates as used in this specified in 45 CFR Part 162. The parties hereto agree to the Agreement does not include these fees and discounts which belong ores of the Business Associate Addendum attached hereto as exclusively to the Manger or its mail order pharmacy,respectively. ndix A The Client agrees to fully cooperate with the The Client acknowledges for itself, its Members, and any Manager in carrying out its obligations set forth in this Section employee welfare benefit plan, that, except as may be expressly 11.1. provided herein, neither it, nor any Member, nor any employee welfare benefit plan in which a Member may participate, has a SECTION 12. NOTICES. right to receive, or possess any beneficial interest in, any such discounts or payments. 12.1 All notices, requests, demands and other communications hereunder shall be in writing and shall be (b) The Client acknowledges that the Manager has made all deemed to be effective only if delivered by hand or mailed by necessary disclosures to it if and to the extent required by law and prepaid registered or certified mail, return receipt requested, to the Client agrees to comply with any disclosure requirements to the parties at their respective addresses set forth below, or to Members relating to this Agreement if and to the extent required such other address as each party may specify by written notice to by law. the other from time to time in accordance with the terms of this paragraph. Such notices, requests, demands and other 13.2 Property. All computer programs,software or other data communications hereunder shall be deemed to have been duly• generated or utilized by the Manager are and at all times shall given upon receipt thereof. remain the property of the Manager. If to the Manager: 13.3 Entire Agreement. The parties hereto agree that this National Medical Health Card Systems,Inc. Agreement and the Exhibits attached hereto and made a part 26 Harbor Park Drive hereof constitute the entire agreement and understanding between Port Washington,NY 11050 the parties relating to the subject matter hereof. Attention:James J.Bigl,President Telephone:516-626-0007 13.4 Amendment. The parties further agree that this Fax: 516-626-8002 Agreement cannot be orally changed, modified, or discharged except by an agreement in writing and signed by the other party. Aiiiw the Client: of Elgin 13.5 Governing Law. This Agreement and all matters 150 Dexter Court concerning its interpretation, performance or the enforcement Elgin,IL 60120 hereof, shall be governed by and construed in accordance with the Attention:Femi Folarin laws of the State of New York. Telephone:847-931-5619 Fax:847-831-5906 13.6 Binding Effect. The rights created by this Agreement shall inure to the benefit of, and the obligations created hereby SECTION 13. MISCELLANEOUS. shall be binding upon, the successors, heirs and assigns of the respective parties hereto. 13.1 Disclosure. (a) In addition to the compensation in the form of Managerial Fees as described in Exhibit A hereto and 13.7 Enforceability. If any provision hereof shall be deemed rebates as described in Exhibit B hereto, the Manager may to be unenforceable by law, the remaining provisions of this receive, directly or indirectly, additional compensation through Agreement shall be enforced and the offending provision shall be (i) margins from lower contract pricing with participating deemed to be re-written so as to give maximum effect to the intent pharmacies; (ii) reasonable administrative fees retained by it or of the parties. related or unrelated third party contractors for their respective role in securing rebates, (iii) defined services provided on 13.8 Assignment. This Agreement or any of the functions to behalf of prescription drug manufacturers intended to inform be performed hereunder may be assigned by the Manager to patients and/or health care professionals of significant clinical another party,provided that, any such assignment shall not relieve findings or situations that offer Members the opportunity to save the Manager of its obligations hereunder. on out-of-pocket costs for their prescription drugs; and(iv) fees or other compensation from pharmaceutical manufacturers, 13.9 Force Majeure. The Manager shall not be liable for including, without limitation, administrative fees not exceeding failure to perform under this Agreement arising out of any cause three percent of the aggregate cost of the pharmaceutical products beyond its control or without its fault or negligence. dispensed to Members, and fees for property provided or services 40,dered to a manufacturer. In addition,the Manager's mail order 13.10 Headings. The headings or captions in this Agreement -macy may negotiate on its own behalf directly with are for convenience and reference only and do not in any way manufacturers for discounts, including rebated discounts based on 8 modify, interpret or construe the intent of the parties or affect any of the provisions of this Agreement. 13.11 Third Party Beneficiary Exclusion. This Agreement is 4111) not a third party beneficiary contract, nor shall this Agreement create any rights on behalf of Members as against the Manager. The Client and the Manager reserve the right to amend, cancel or terminate this Agreement without notice to,or consent of, any Member. [The remainder of this page is intentionally left blank] A, A) 9 IN WITNESS WHEREOF, the parties have caused this Phh-ment to be duly executed as of the date and year first above n by their respective officers or representatives, duly authorized to do so. NATIONAL MEDICAL HEALTH CARD SYSTEMS,INC. By: Print Name: James J.Bigl Title: President Date: CITY OF ELGIN (Name of the Client) By: Print Name: Title: 10 EXHIBIT A* MANAGERIAL FEE The Manager will manage the basic prescription program (the "Plan") for a Managerial Fee of $0.25 per processed claim. The Plan will provide for the following menu of services (the "Services") to be included for the Manager's standard per claim Managerial Fee: - Semi-Monthly Claims Report. A computerized semi-monthly claims report with each invoice, which lists all claims for the prior two week period. Coordination of Benefits. Coordination of retail,mail order and e-pharmacy claims data among the Manager,mail order provider,e-pharmacy provider and the Client. - Computerized quarterly drug usage reports. - Toll free WATS Service. Toll free WATS Service throughout the United States. Standard Forms. Health Card standard forms needed for the effective operation of the Plan. Handling and Postage Expense. Handling and postage expense for checks to pharmacies and Members with explanation. 41111, - Membership List. Computer generated alphabetical listing of Members on a reasonably required basis by the Client. - Pharmacy List. Computer generated listing of Member-Pharmacies as reasonably required basis by the Client. - Educational Materials. Standard educational materials as needed for Plan participants, physicians and pharmacists relative to the management of the prescription benefit program. Pharmacy Audits. Audit of pharmacies and return of funds to the Client where appropriate. - Member Identification Cards. The Client's logo in black and white on Member Identification Cards Out-of-Network Claim Forms. provision of standard paper Out-Of-Network Claim Forms for Members who use Non-Member Pharmacies. - Standard Concurrent Drug Utilization Review. C:\Documents and Settings\Folarin_f.007\Local Settings\Temporary Internet Files\Content.lE5\EXW5KPU5\PBM Agreement-City of Elgin[1l.doc • Additional Services** Claims history tape(one tape each cycle). $50.00 per tape Mailings direct to Members. Postage and handling charges Postage and handling fees will be charged for any mailings directly to Members except those covered by the Managerial Fee described above. Customized Member Identification Cards. $0.25 Member Identification Cards with colored logos or other customization. Customized card set up charges $0.25 Ad Hoc Reporting $TBD per hour programming time Direct Member Reimbursement(DMR) Administrative Fee. $1.50 per processed DMR claim * Rates are guaranteed during the term of this Agreement, buy may be subject to change pursuant to the terms of the Agreement. r **The basic Managerial Fee does not include the Additional Services. Charges for services not listed above will be quoted upon request. Such services include but are not limited to: - Custom employee communications - Profiling prescribers Member survey services • 2 EXHIBIT B** PRICING RETAIL Brand: AWP*minus 15% Dispensing Fee: $2.25 Generic: MAC with an effective overall average discount of AWP-53% Dispensing Fee: $2.40 MAIL ORDER Brand: AWP* minus 20.5% Dispensing Fee: $0.00 Generic: MAC with an effective overall average discount of AWP-53% Dispensing Fee: $1.00 SPECIALTY Brand: AWP*minus 14% Dispensing Fee: $5.00 Generic: MAC Dispensing Fee: $5.00 *AWP refers to Average Wholesale Price of drug ingredient cost and the discount set forth above is an effective 41111) average rate rather than actual. Dispensing fee refers to amount paid to the participating pharmacy for filling a prescription. The Manager's contract pricing with participating pharmacies may be higher or lower than the client contracted pricing. MAC refers to the Manager's maximum allowable cost pricing. Non-MAC generic pricing defaults to brand rates. U&C or usual and customary refers to the retail price charged by a Member Pharmacy for the particular drug in a cash transaction on the date the drug is dispensed as reported to the Manager by the Member Pharmacy. U&C is estimated to be up to an additional 1.5% discount off the brand AWP. U&C is established by the retail pharmacy and is not controlled by the Manager. U&C is driven solely by the competitiveness of the pharmacy provider's marketplace for a specific drug at a specific time in order to create walk-in-business in their store. The Client is not charged a dispensing fee on U&C claims. In instances where the U&C discount is greater than the discount off AWP, the U&C discount shall apply to the aggregate book of business of the Manager,as measured over the term of this Agreement. The mark- up rate on the U&C discount shall be 5%. Specialty Drugs are subject to the maximum allowable reimbursement rates. MANUFACTURER REBATE For two-tier open formulary: The formulary rebate is guaranteed to be at least$0.75 per claim. For three-tier closed formulary(with a $15 co-pay differential between preferred and non-preferred brand drugs): The formulary rebate is guaranteed to be at least$1.50 per claim. **Rates, including rebates,are guaranteed during the term of this Agreement,but may be subject to change pursuant to 41111) the teens of the Agreement. C:\Documents and Settings\Folarin_f.007\Local Settings\Temporary Internet Files\Content.lE5\EXW5KPU5\PBM Agreement-City of Elgin[1].doc EXHIBIT C National Medical Health Card Systems, Inc. 26 Harbor Park Drive Port Washington,NY 11050 Please wire transfer to: BANK: JP Morgan Chase Bank ADDRESS: 4 New York Plaza New York,NY FOR ACCOUNT OF: . National Medical Health Card Systems,Inc. ACCOUNT NUMBER: 777-739313 ABA NUMBER: 021000021 rak C:\Documents and Settings\Folarin_f.007\Loca1 Settings\Temporary Internet Files\Content.lE5\EXW5KPU5\PBM Agreement-City of Elgin(Ij.doc EXHIBIT D LIST OF SPECIALTY DRUGS 41111) C:\Documents and Settings\Folarin_f.007\Local Settings\Temporary Internet Files\Content.IE5\EXW5KPU5\PBM Agreement-City of Elgin[1].doc APPENDIX A BUSINESS ASSOCIATE ADDENDUM 1. Definitions a. General. Terms used,but not otherwise defined,in this Addendum shall have the same meaning as those terms in the Privacy Rule. b. Specific. "Business Associate" shall mean National Medical Health Card Systems,Inc. "Covered Entity" shall mean City of Elgin. "Individual" shall have the same meaning as the term "individual" in 45 CFR § 164.501 and shall include a person who qualifies as a personal representative in accordance with 45 CFR§ 164.502(g). "Privacy Rule" shall mean the Standards for Privacy of Individually Identifiable Health Information at 45 CFR Part 160 and Part 164, Subparts A and E. • "Protected Health Information" or "PHI" shall have the same meaning as the term"protected health information" in 45 CFR§ 164.501, limited to the information created or received by Business Associate from or on behalf of Covered Entity. "Required By Law" shall have the same meaning as the term "required by law" in 45 CFR§ 164.501. "Services Agreement" shall mean any present or future agreements, either written or oral, between Covered Entity and Business Associate under which Business Associate provides services to Covered Entity which involve the use or disclosure of Protected Health Information. 2. Obligations and Activities of Business Associate a. Use and Disclosure. Business Associate agrees to not use or disclose Protected Health Information other than as permitted or required by the Services Agreement or as Required By Law. b. Appropriate Safeguards. Business Associate agrees to use appropriate safeguards to prevent use or disclosure of the Protected Health Information other than as provided for by the Services Agreement. c. Reporting. Business Associate agrees to report to Covered Entity any use or disclosure of the Protected Health Information not provided for by the Services Agreement of which it becomes aware. d. Agents. Business Associate agrees to ensure that any agent, including a subcontractor,to whom it provides Protected Health Information received from, or created or received by Business Associate on behalf of Covered Entity agrees to the same restrictions and conditions that apply through this Addendum to Business Associate with respect to such information. C:\Documents and Settings\Folarin_f007\Local Settings\Temporary Internet Files\Content.IE5\EXW5KPU5\PBM Agreement-City of Elgin[1].doc 411)e. Access to Designate Record Sets. To the extent that Business Associate possesses or maintains Protected Health Information in a Designated Record Set,Business Associate agrees to provide access, at the request of Covered Entity,in a reasonable time and manner, to Protected Health Information in a Designated Record Set, to Covered Entity or, as directed by Covered Entity,to an Individual in order to meet the requirements under 45 CFR§ 164.524. f. Amendments to Designated Record Sets. To the extent that Business Associate possesses or maintains Protected Health Information in a Designated Record Set,Business Associate agrees to make any amendment(s)to Protected Health Information in a Designated Record Set that the Covered Entity directs or agrees to pursuant to 45 CFR § 164.526 at the request of Covered Entity or an Individual, in a reasonable time and manner g. Access to Books and Records. Business Associate agrees to make internal practices, books, and records, including policies and procedures and Protected Health Information,relating to the use and disclosure of Protected Health Information received from, or created or received by Business Associate on behalf of Covered Entity, available to Covered Entity, or at the request of Covered Entity or the Secretary,to the Secretary, in a reasonable time and manner or as otherwise designated by the Secretary, for purposes of the Secretary determining Covered Entity's compliance with the Privacy Rule. h. Accountings. Business Associate agrees to document such disclosures of Protected Health Information and information related to such disclosures as would be required for Covered Entity to respond to a request by an Individual for an accounting of disclosures of Protected Health Information in accordance with 45 CFR § 164.528. i. Requests for Accounting. Business Associate agrees to provide to Covered Entity or an Individual for a reasonable cost-based fee, in a reasonable time and manner upon request, information collected in accordance with Section 2.h. of this Addendum, to permit Covered Entity to respond to a request by an Individual for an accounting of disclosures of Protected Health Information in accordance with 45 CFR§ 164.528. 3. Permitted Uses and Disclosures by Business Associate a. Services Agreement. Except as otherwise limited in this Addendum,Business Associate may use or disclose Protected Health Information to perform functions, activities, or services for,or on behalf of, Covered Entity in accordance with the Services Agreement,provided that such use or disclosure would not violate the Privacy Rule if done by Covered Entity or the minimum necessary policies and procedures of the Covered Entity. Such permitted uses and disclosures include but are not limited to: (i) providing PHI to members on behalf of Covered Entity; (ii) providing PHI for payment, treatment and healthcare operations purposes; (iii) providing data aggregation services to Covered Entity as permitted by 42 CFR § 164.504(e)(2)(i)(B); and (iv) performing appropriate administrative,management, or legal activities as set forth in the Services Agreement. 2 A b. Use for Administration of Business Associate. Except as otherwise limited in this Addendum,Business Associate may use Protected Health Information for the proper management and administration of the Business Associate or to carry out the legal responsibilities of the Business Associate. c. Disclosure for Administration of Business Associate. Except as otherwise limited in this Addendum,Business Associate may disclose Protected Health Information for the proper management and administration of the Business Associate,provided that disclosures are Required By Law, or Business Associate obtains reasonable assurances from the person to whom the information is disclosed that it will remain confidential and used or further disclosed only as Required By Law or for the purpose for which it was disclosed to the person, and the person notifies the Business Associate of any instances of which it is aware in which the confidentiality of the information has been breached. d. Reporting Violations of Law. Business Associate may use Protected Health Information to report violations of law to appropriate Federal and State authorities, consistent with § 164.502(j)(1). 4. Obligations of Covered Entity a. Limitations on Privacy Practices. Covered Entity shall notify Business Associate of any limitation(s) in its notice of privacy practices of Covered Entity in accordance with 45 CFR§ 164.520,to the extent that such limitation may affect Business Associate's use or disclosure of Protected Health Information. b. Changes in Permission. Covered Entity shall notify Business Associate of any changes elw in,or revocation of, permission by Individual to use or disclose Protected Health Information, to the extent that such changes may affect Business Associate's use or disclosure of Protected Health Information. c. Restrictions on Use. Covered Entity shall notify Business Associate of any restriction to the use or disclosure of Protected Health Information that Covered Entity has agreed to in accordance with 45 CFR § 164.522,to the extent that such restriction may affect Business Associate's use or disclosure of Protected Health Information. d. Impermissible Request by Covered Entity. Except as otherwise set forth in Section 3 of this Addendum,Covered Entity shall not request Business Associate to use or disclose Protected Health Information in any manner that would not be permissible under the Privacy Rule if done by Covered Entity. e. Representation. Covered Entity represents and warrants that it has entered into "Business Associate Agreements"with any third parties to which Covered Entity directs and authorizes Business Associate to disclose PHI. 5. Term and Termination a. Term. This Addendum shall be effective as of the date of this Addendum, and shall terminate when all of the Protected Health Information provided by Covered Entity to Business Associate, or created or received by Business Associate on behalf of Covered Entity, is destroyed or returned to Covered Entity, or, if it is infeasible to return or destroy Protected Health Information, r protections are extended to such information, in accordance with the termination provisions in this Section. 3 a b. Termination for Cause.Upon Covered Entity's knowledge of a material breach by Business Associate,Covered Entity shall either: (i) Provide an opportunity for Business Associate to cure the breach or end the violation. If Business Associate does not cure the breach or end the violation within 90 days from the time of notification by Covered Entity,Covered Entity shall terminate: (A)this Addendum and (B) all of the provisions of the Services Agreement that involve the use or disclosure of Protected Health Information. (ii) Immediately terminate: (A)this Addendum and (B) all of the provisions of the Services Agreement that involve the use or disclosure of Protected Health Information if Business Associate has breached a material term of this Addendum and cure is not possible; or (iii) If neither termination nor cure is feasible,Covered Entity shall report the violation to the Secretary. c. Effect of Termination. (i) Except as provided in paragraph(ii)of this section, upon termination of this Addendum, for any reason,Business Associate shall return or destroy all Protected Health Information received from Covered Entity, or created or received by Business Associate on behalf of Covered Entity. This provision shall apply to Protected Health Information that is in the possession of subcontractors or agents of Business Associate. Business Associate shall retain no copies of the Protected Health Information. (ii) In the event that Business Associate determines that returning or destroying the Protected Health Information is infeasible,Business Associate shall provide to Covered Entity notification of the conditions that make return or destruction infeasible. Upon mutual agreement that return or destruction of Protected Health Information is infeasible, Business Associate shall extend the protections of this Addendum to such Protected Health Information and limit further uses and disclosures of such Protected Health Information to those purposes that make the return or destruction infeasible, for so long as Business Associate maintains such Protected Health Information. 6. Miscellaneous a. Regulatory References. A reference in this Addendum to a section in the Privacy Rule means the section as in effect or as amended. b. Amendment. The parties agree to take such action as is necessary to amend this Addendum from time to time as is necessary for Covered Entity to comply with the requirements of the Privacy Rule and the Health Insurance Portability and Accountability Act of 1996,Pub.L.No. 104-191. c. Survival. The respective rights and obligations of Business Associate under Section 5.c. of this Addendum shall survive the termination of the Services Agreement. d. Interpretation. Any ambiguity in this Addendum shall be resolved to permit Covered Entity to comply with the Privacy Rule. 4