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1.
Healthc (Amst) ; 6(2): 101-103, 2018 Jun.
Article in English | MEDLINE | ID: mdl-28673817

ABSTRACT

Addressing healthcare costs requires incenting providers to address both physical and behavioral health conditions, as well as social determinants of health. The most complex, and expensive, patients are often those with comorbid mental illness and/or addiction, who are at higher risk for exposure to violence, food insecurity, unstable housing and other adversities that negatively affect health. Yet today's value-based payment models and associated quality measures do not incent providers to address patients' behavioral and social needs. We propose a state-led framework for moving towards fully integrated accountability through improved value-based payment and measurement.


Subject(s)
State Government , Value-Based Purchasing/statistics & numerical data , Accountable Care Organizations/economics , Accountable Care Organizations/methods , Health Care Costs/trends , Health Policy , Humans , Massachusetts
3.
N Engl J Med ; 371(3): 288, 2014 07 17.
Article in English | MEDLINE | ID: mdl-25014707
7.
Health Matrix Clevel ; 22(1): 139-67, 2012.
Article in English | MEDLINE | ID: mdl-22616545

ABSTRACT

This Article examines university opposition to a proposed statutory exemption to infringement liability for basic genetic research and patient care. Gene patenting has allowed patentees to bar basic genetic research, slowing the progress of developing and administering diagnostics and gene-targeting therapeutics. Debates over the merits of gene patents have been heated, most recently leading to an unprecedented invalidation of several broad patents covering all variations and use of two genes linked to breast and ovarian cancers. More important, however (as this ruling was reversed in part), are proposed statutory exemptions to infringement liability. The Department of Health and Human Services' Secretary's Advisory Committee on Genetics, Health, and Society (SACGHS) has promulgated an exemption from liability for infringement that occurs in the course of research. This exemption would promote basic research by granting academic scientists unfettered access to genetic material. The proposal does not alter the patentability of gene sequences; it merely restricts patentees from using infringement threats to stop research. Surprisingly, the Association of University Technology Managers (AUTM), an organization responsible for promoting development of university research, opposes such an exemption. The AUTM alleges that the exemption would slow research by reducing the incentive for private firms to invest in upstream discoveries made in university laboratories. Yet the exemption would do the opposite: by opening the doors to research relating to any gene segment, a research exemption would accelerate basic research. Moreover, it would not affect collaboration with private industry: where there is potential to commercialize basic research, biomedical companies would continue to license the rights to university discoveries. Thus, the AUTM's motivations in opposing the proposed research exemption are suspect. They appear to reflect either a misunderstanding of the purpose behind granting property rights to publicly funded university research, or an improper alignment with industry goals.


Subject(s)
Genetic Research/legislation & jurisprudence , Patents as Topic/legislation & jurisprudence , Universities , Humans , United States
8.
J Law Med Ethics ; 39(3): 317-27, 2011.
Article in English | MEDLINE | ID: mdl-21871030

ABSTRACT

Despite evidence indicating that public health services are the most effective means of improving the population's health status, health care services receive the bulk of funding and political support. The recent passage of the Affordable Care Act, which focused on improving access to health care services through insurance reform, reflects the primacy of health care over public health. Although policymakers typically conceptualize health care and public health as two distinct systems, gains in health status are most effectively and cost-efficiently achieved through their integration into a single health system. The Act does little to compel integration; however, there are numerous opportunities to encourage the coordination of public health and health care in the Act's implementation.


Subject(s)
Delivery of Health Care, Integrated , Health Care Reform , Health Services Needs and Demand , Patient Protection and Affordable Care Act , Public Health , Health Promotion/organization & administration , Humans , Preventive Health Services/organization & administration , United States
10.
Duke Law J ; 59(5): 955-1000, 2010 Feb.
Article in English | MEDLINE | ID: mdl-20235400

ABSTRACT

This Note identifies a discrepancy in the law governing the decisionmaking that directs patient care. Seeking treatment that a third party will pay for, a patient needs not only a physician-prescribed course of treatment but also an insurer's verification that the cost is medically necessary or otherwise covered by the patient's plan. Both of these decisions directly impact the ultimate care delivered to the patient, but are governed by two very different liability regimes. A patient who suffers an adverse outcome may sue his physician in tort, while a patient who suffers from a lack of coverage may generally sue his insurer only under contract. In other words, when a patient suffers from inadequate care, his potential remedies vary considerably depending on whether the physician or the insurer is the defendant. This discrepancy in liability is the consequence of the federal law governing the administration of employer-sponsored health plans, and its extensive preemption of related state law. Many commentators have called for legal reform to address the distortion of managed care liability that results, arguing that managed care liability must be consistent or that wronged beneficiaries must have access to meaningful remedies. This Note argues that the federal law governing managed care organizations is problematic for a different reason and that the first step toward reform may be more elementary than previously suggested. Specifically, it suggests that the law governing insurers' coverage decisions is inconsistent with the law governing treatment recommendations. Patients suffer the same harm from error in both contexts-but because they can recover substantially more from treating physicians, doctors are named as defendants even when the insurers make errors. Further, this Note argues that simply aligning these two standards might offer a gateway to reform.


Subject(s)
Decision Making , Insurance Carriers/legislation & jurisprudence , Interprofessional Relations , Liability, Legal , Physician-Patient Relations , Practice Patterns, Physicians'/legislation & jurisprudence , Professional Autonomy , Utilization Review/legislation & jurisprudence , Employee Retirement Income Security Act/legislation & jurisprudence , Health Benefit Plans, Employee/legislation & jurisprudence , Humans , Insurance Coverage/legislation & jurisprudence , Insurance, Health/legislation & jurisprudence , Managed Care Programs/legislation & jurisprudence , United States
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