
Workplace
Privacy and Protected Medical Information
Presented to the Columbus Bar Association Labor and Employment
Law Committee
October 3, 2007
by:
Barbara K. Letcher
Newhouse, Prophater, Letcher & Moots, LLC
Tel: (614) 255-5441
I. COMMON LAW PRIVACY OBLIGATIONS
A.
Common law origin.
Unlike some states, Ohio has no statute defining general privacy
rights with respect to medical information. These rights are a
function of court decisions, and are therefore a part of the common
law.
B. Reasonable expectation of privacy.
The right of privacy hinges on an employee’s reasonable
expectation of privacy, which can arise from several sources:
- Common expectations based on social values (don’t peek
into the shower stall).
- Employer policies (“Our e-mail system
is for the private
use of our employees”).
- Statutory and regulatory restrictions
(HIPAA defines medical
information as protected, and restricts its dissemination and
use).
C. Common law protection of medical information.
Long before there was HIPAA, Ohio courts recognized the duty
of
an employer to maintain the confidentiality of medical information
related to its employees and recognized the tort of invasion
of
privacy to address violations of the reasonable expectation
of
privacy.
In Ohio, the tort of invasion of privacy includes four distinct
causes
of action. See, e.g., Housh
v. Peth (1956), 165 Ohio St. 35,
133
N.E.2d 340; Killilea v. Sears,
Roebuck & Co. (1985), 27 Ohio
App.3d 163, 499 N.E.2d 1291. These causes of action result from the:
- Intrusion into the individual’s seclusion, solitude, or private
affairs;
- Public disclosure of embarrassing private facts about
the
individual;
- Publicity that places the individual in a false
light; and
- Appropriation of the individual’s name or likeness
to gain an
advantage.
A claim arising from the disclosure of an employee’s
medical
information is analyzed as a claim based on a public disclosure
of
embarrassing private facts about the employee. To maintain the
public disclosure variety of an invasion of privacy claim, the
employee must satisfy three requirements. See Greenwood
v. Taft,
Stettiniur & Hollister (1995), 105 Ohio App.3d 295, 663 N.E.2d
1030, citing Restatement (Second) of Torts, Section 652D (1965);
Seta v. Reading Rock, Inc. (1995), 100 Ohio App.3d 731, 654
N.E.2d 1061. The employee must establish that there was:
- A
clearly private fact;
- Public disclosure of the private fact;
and
- A showing that the matter made public is one which would
be highly offensive and objectionable to a reasonable person.
Courts
have drawn a distinction between the “publicity” necessary
to support a claim for invasion of privacy and “publication”
as used
in the defamation context. See Killilea,
supra; Reading Rock, supra.
To maintain a defamation claim,
the plaintiff need only show a
publication which is defined as any communication from the
defendant to a third person. In contrast, an invasion of privacy
claim requires that the matter be made public, by communicating
it
to the public at large, or to so many persons that the matter
must
be regarded as substantially certain to become one of public
knowledge.
This distinction is identified in the Restatement of Torts which
goes
on to state that it is not an invasion of privacy to communicate
a
fact about an individual’s private life to a single person or even
a
single group of persons. Restatement (Second) of Torts, Section
652D, comment a. But see, Levias
v. United Airlines (1985), 27
Ohio App.3d 222, 500 N.E.2d 370 (which upheld jury verdict for
employee in context of limited disclosure).
There is a split of authority concerning whether the disclosure
must
be intentional before it can be actionable. Those cases which
require an intentional act cite McCormick
v. Haley (1973), 37 Ohio
App.2d 73, 307 N.E.2d 34. However, McCormick involved an
invasion of privacy claim based on an intrusion into an individual’s
private affairs. Section 652B of the Restatement notes that this
type of claim requires intentional interference, a requirement
not
included in Section 652D. In contrast, in Prince v. St. Francis-St.
George Hospital, Inc. (1985), 20 Ohio App.3d 4, 484 N.E.2d 265,
the court opined that “[i]t seems to us that a negligent invasion
of
the right of privacy . . . can just as effectively invade one’s
right of
privacy as an intention to do so.” See, also, Yoder v. Ingersoll-
Rand Co. (6th Cir. 1998), 1998 U.S. App. LEXIS 31993.
D. Privileges.
A privilege is a common law right of an employer to disclose private
information, even without the employee’s consent.
- Provision of
information to a medical provider.
- Provision of information to
a health plan.
- Reporting of medical information to the Bureau
of Worker’s
Compensation.
- Recording occupational inju
ry and illness information
on
OSHA prescribed forms, and making those forms to parties
with a right of access under OSHA laws and regulations.
- Use of
medical information in defense of an employee’s
claim of bodily injury.
Generally, courts apply a “commonality
of interest” rationale and
find a qualified or conditional privilege when a “commonality
of
interest” exists between the publisher and recipient, and the
communication is of a kind reasonably calculated to protect that
interest. See Knecht v. Vandalia
Med. Center, Inc. (1984), 14
Ohio
App.3d 129, 470 N.E.2d 230. This has evolved into a “need to
know” standard applied in the employment context. See Levias v.
United Airlines (1985), 27 Ohio App.3d 222, 500 N.E.2d
370.
For a communication to be considered privileged, the employer
must establish:
- Good faith;
- An interest to be upheld;
- A statement limited in its scope to
this purpose;
- A proper occasion; and
- Publication in a proper manner and to
proper parties only.
See Hahn
v. Kotten (1975), 43 Ohio St.2d 237, 331 N.E.2d 713,
quoting 50 American Jurisprudence 2d 698, Libel and Slander,
Section 195.
II. HEALTH INFORMATION PROTECTED
BY HIPAA.
A. The HIPAA Privacy Rule.
One of the primary purposes of the HIPAA Privacy Rule is to define
and limit the circumstances in which an individual’s protected
health
information may be used or disclosed by covered entities.
In general, a covered entity can disclose protected health
information for treatment, payment or health care operations
purposes without first getting the individual’s written permission.
45
C.F.R. § 164.502(a)(1)(iii). For most other purposes, the covered
entity must first obtain the individual’s written permission. 45
C.F.R. § 164.502(a)(1)(iv); 45 C.F.R. § 164.512.
B. Protected Health
Information (PHI).
The HIPAA Privacy Rule defines PHI as all “individually identifiable
health information” held or transmitted by a covered entity or
its
business associate, in any form or media whether electronic, paper
or oral. 45 C.F.R. § 160.103.
“Individually identifiable health
information” includes information
that relates to an individual’s past, present or future physical
or
mental health or condition, the provision of health care to the
individual, or the past, present, or future payment for the provision
of health care to the individual that identifies the individual or
for
which there is a reasonable basis to believe it can be used to
identify the individual. 45 C.F.R. § 160.103.
The revised definition of protected health information excludes
“employment records held by a covered entity in its role as
employer”. For example, information in a hospital’s personnel file
about a nurse’s use of sick leave is not protected health
information, but the medical record of a hospital employee who is
receiving treatment at the hospital is protected health information
and is covered by the privacy rule.
The term “employment record” is not defined by includes health
information the employer would need to carry out its obligations
related to OSHA, FMLA, sick leave requests, drug screening, work
place medical surveillance, fitness for duty exams, and other similar
programs and activity. However, a fitness for duty exam will be PHI
when the employer administers the test to the employee but not
when the results of the fitness for duty exam are turned over to
the
employer pursuant to the employee’s authorization.
C. Minimum necessary rule.
A health care provider must provide only the minimum information
necessary to a person who has a permissible need to know, like
billing services, insurance companies and the like.
- It is left
to the health care provider to decide what is
minimally necessary.
- This restriction does not apply to the provision
of information
for treatment purposes.
D. Covered entities.
- Health care providers.
Almost anyone in the business of providing health care
services who is licensed or regulated by a state is covered
by the act. This includes doctors, hospitals, nurses, dentists,
pharmacists, counselors and laboratories. It also includes
individuals or entities conducting certain covered “electronic”
transactions, e.g. Medicare billing.
- Health plans.
This includes anyone who pays for medical care, such as
insurers, HMO’s, employer-sponsored health plans,
Medicare and Medicaid. A “group health plan” is one type of
health plan and is a covered entity (except for selfadministered
plans with fewer than 50 participants). The
group health plan is considered to be a separate legal entity
from the employer or other parties that sponsor the group
health plan.
- Health care clearinghouses.
These are billing services, third-party administrators,
insurance agents, and others who collect and process health
and health-related information.
- Hybrid entities.
These include employers. These are organizations which
provide health care services as part of their business.
Examples include employers with self-insured health benefit
programs or workplace medical clinics. The portion of the
business which provides the health care services must
comply with HIPAA requirements for the handling of PHI.
E. Employer confidentiality obligations under HIPAA.
Hybrid entity employers must build “firewalls” between covered
portions of the business and those that are not covered, in order
to
prevent the inadvertent disclosure of PHI.
- Password protect
databases at the least, and consider
keeping entirely separate computer systems and databases.
- Physically
separate covered and non-covered employees
and files.
- Avoid having employees in the covered area also have
responsibilities in non-covered areas.
F. Employer access to and
use of PHI from covered entities.
- Covered entities can
provide the following to an employer:
a. Whether an employee is
enrolled in a health care plan.
b. Summary information, such as the number of
enrollees, premiums paid, number of claims made,
and total costs paid.
- If a covered entity provides an employer
with more
information, the employer must adopt and adhere to rules
that are essentially the same as those applicable to covered
entities.
G. Employer access to and use of PHI for workers’ compensation.
The HIPAA Privacy Rule does not apply to entities that are workers’
compensation insurers, workers’ compensation administrative
agencies, or employers except to the extent they may otherwise
be
covered entities. However, these entities need access to
information that would qualify as protected health information
to
administer claims of individuals injured on the job. Although
this
information is obtained from health care providers who treat
the
injured workers and who are covered by the Privacy Rule, an
exception to the rule permits disclosures for workers’ compensation
purposes.
- Disclosures without individual authorization.
The Privacy Rule permits disclosure of PHI in connection
with the administration of workers’ compensation claims,
without the individual’s authorization:
a. As authorized by and
to the extent necessary to
comply with workers’ compensation laws or similar
programs established by law that provide benefits for
work-related injuries or illness without regard to fault.
45 C.F.R. § 164.512(l).
b. To the extent the disclosure is
required by State or
other law provided the disclosure complies with and is
limited to what the law requires. 45 C.F.R. §
164.512(a).
c. To obtain payment for any health care provided
to the
injured or ill worker. 45 C.F.R. § 164.502(a)(1)(ii).
- Disclosures with individual authorization.
Covered entities may also disclose PHI in connection with
the administration of workers’ compensation claims where
the individual has given his or her written authorization
for
the release of the information to the entity provided the
authorization contains the elements and otherwise meets the
requirements specified in 45 C.F.R. § 164.508.
Individuals do
not have the right to request that a covered entity
restrict its disclosure of PHI about them for workers’ compensation
purposes when the disclosure is required by law or authorized
by,
and necessary to comply with, a workers’ compensation or
similar
law. 45 C.F.R. § 164.522(a).
III. PRODUCTION OF MEDICAL INFORMATION FOR LITIGATION.
A. Plaintiff’s
medical records.
The Privacy Rule does not prevent the Plaintiff’s physician from
producing his records. Rather, it prescribes the procedural steps
that the requesting party must follow to obtain the records.
A covered entity may disclose PHI “in the course of any judicial
or
administrative proceeding,” even if not mandated by a court order,
provided that one of the following two procedural alternatives
is
followed:
- The requesting party may provide “satisfactory assurance”
to
the covered entity that the patient has been given written
notice of the request with sufficient time for the patient to
object in court, and that the patient has either not objected or
his objection has been denied. Giving notice to the patient’s
attorney is sufficient. 45 C.F.R. § 164.512(e)(1)(iii).
- The requesting
party may provide the covered entity with
satisfactory assurance that the court will enter a “qualified
protective order” that will restrict use of the PHI to the
litigation and require that the PHI be destroyed at the
conclusion of the litigation. 45 C.F.R. § 164.512(e)(1)(iv),
(v).
B. Records maintained by the employer.
Documents containing health information maintained in personnel
or employment records are not protected by HIPAA, provided that
the employer maintains these records as an employer. Therefore,
any health information contained in these records can be produced.
See, Beard v. City of Chicago (N.D. Ill. 2005), No. 03 C 3527, 2005
U.S. Dist. LEXIS 374 (holding that leave of absence documents
requested by the plaintiff from her former employer in a
discrimination suit did not constitute PHI and therefore production
was not governed by the HIPAA Privacy Rule).
IV. PRACTICAL CONSIDERATIONS FOR THE PROTECTION OF PHI.
A. Obtain
authorizations.
When in doubt, obtain written authorization from the employee for
disclosure of information. While there are circumstances when this
is not necessary, it is best to err on the side of caution.
B. Segregate
information.
Medical information should go into a separate folder, and the folder
should be a distinctive color (red is good). Lock the files up.
Restrict who can have access.
C. Written “need to know” forms.
When someone wants to access a medical file, have them
complete a standard request form, indicating their intended use
for
the information, and why they are permitted to see the information.
Consider requiring employee authorizations.
D. Policy.
Write and disseminate a policy governing privacy of medical information.
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