Mississippi’s Data Breach Notification law states:
- A person who conducts business in this state shall 38 disclose any breach of security to all affected individuals. The 39 disclosure shall be made without unreasonable delay, subject to 40 the provisions of subsections (4) and (5) of this section and the 41 completion of an investigation by the person to determine the 42 nature and scope of the incident, to identify the affected 43 individuals, or to restore the reasonable integrity of the data 44 system. Notification shall not be required if, after an 45 appropriate investigation, the person reasonably determines that 46 the breach will not likely result in harm to the affected 47 individuals.
- Any person who conducts business in this state that 49 maintains computerized data which includes personal information 50 that the person does not own or license shall notify the owner or 51 licensee of the information of any breach of the security of the 52 data as soon as practicable following its discovery, if the 53 personal information was, or is reasonably believed to have been, 54 acquired by an unauthorized person for fraudulent purposes.
- Any notification required by this section shall be 56 delayed for a reasonable period of time
- Failure to comply with the requirements of this section 100 shall constitute an unfair trade practice and shall be enforced by 101 the Attorney General; however, nothing in this section may be 102 construed to create a private right of action.
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Federal Requirements:
In general, State laws that are contrary to the Privacy Rule are preempted by the federal requirements, which means that the federal requirements will apply.
- Each covered entity, with certain exceptions, must provide a notice of its privacy practices. The Privacy Rule requires that the notice contain certain elements. The notice must describe the ways in which the covered entity may use and disclose protected health information. The notice must state the covered entity’s duties to protect privacy, provide a notice of privacy practices, and abide by the terms of the current notice. The notice must describe individuals’ rights, including the right to complain to HHS and to the covered entity if they believe their privacy rights have been violated. The notice must include a point of contact for further information and for making complaints to the covered entity. Covered entities must act in accordance with their notices. The Rule also contains specific distribution requirements for direct treatment providers, all other health care providers, and health plans.
- A covered entity must develop and implement written privacy policies and procedures that are consistent with the Privacy Rule.
- A covered entity must train all workforce members on its privacy policies and procedures, as necessary and appropriate for them to carry out their functions. A covered entity must have and apply appropriate sanctions against workforce members who violate its privacy policies and procedures or the Privacy Rule.
- OCR may impose a penalty on a covered entity for a failure to comply with a requirement of the Privacy Rule. Penalties will vary significantly depending on factors such as the date of the violation, whether the covered entity knew or should have known of the failure to comply, or whether the covered entity’s failure to comply was due to willful neglect. Penalties may not exceed a calendar year cap for multiple violations of the same requirement.
For violations occurring prior to 2/18/2009 |
For violations occurring on or after 2/18/2009 |
|
---|---|---|
Penalty Amount |
Up to $100 per violation |
$100 to $50,000 or more per violation |
Calendar Year Cap |
$25,000 |
$1,500,000 |
- A person who knowingly obtains or discloses individually identifiable health information in violation of the Privacy Rule may face a criminal penalty of up to $50,000 and up to one-year imprisonment. The criminal penalties increase to $100,000 and up to five years imprisonment if the wrongful conduct involves false pretenses, and to $250,000 and up to 10 years imprisonment if the wrongful conduct involves the intent to sell, transfer, or use identifiable health information for commercial advantage, personal gain or malicious harm.
The Security Rule requires covered entities to maintain reasonable and appropriate administrative, technical, and physical safeguards for protecting e-PHI.
Specifically, covered entities must:
- Ensure the confidentiality, integrity, and availability of all e-PHI they create, receive, maintain or transmit;
- Identify and protect against reasonably anticipated threats to the security or integrity of the information;
- Protect against reasonably anticipated, impermissible uses or disclosures; and
- Ensure compliance by their workforce.
- The Privacy Rule requires that a covered entity obtain satisfactory assurances from its business associate that the business associate will appropriately safeguard the protected health information it receives or creates on behalf of the covered entity. The satisfactory assurances must be in writing, whether in the form of a contract or other agreement between the covered entity and the business associate.
- A “business associate” is a person or entity that performs certain functions or activities that involve the use or disclosure of protected health information on behalf of, or provides services to, a covered entity.
If you believe that a HIPAA-covered entity or its business associate violated your (or someone else’s) health information privacy rights or committed another violation of the Privacy, Security, or Breach Notification Rules, you may file a complaint with the Office for Civil Rights (OCR).