PERSONAL HEALTH INFORMATION PRIVACY ACT, 2000 / LOI DE 2000 SUR LA CONFIDENTIALITÉ DES RENSEIGNEMENTS PERSONNELS SUR LA SANTÉ

CARDIAC CARE NETWORK OF ONTARIO

COLLEGE OF PHYSICIANS AND SURGEONS OR ONTARIO

CENTRE FOR ADDICTION AND MENTAL HEALTH

CANADIAN PENSIONERS CONCERNED

IMS HEALTH CANADA

ARCH

POLICE ASSOCIATION OF ONTARIO

ONTARIO DENTAL HYGIENISTS' ASSOCIATION

ASSOCIATION FOR HEALTHCARE PHILANTHROPY CANADA

ONTARIO PSYCHOLOGICAL ASSOCIATION

CANADIAN ASSOCIATION OF CHAIN DRUG STORES

CHURCH OF CHRIST, SCIENTIST

JOHN MANUEL

PHILIP WYATT

MENTAL HEALTH LEGAL COMMITTEE

COLLEGE OF DIETITIANS OF ONTARIO

CANADIAN LIFE AND HEALTH INSURANCE ASSOCIATION

COLLEGE OF OCCUPATIONAL THERAPISTS OF ONTARIO

ONTARIO FEDERATION OF COMMUNITY MENTAL HEALTH AND ADDICTION PROGRAMS

ONTARIO ASSOCIATION OF MEDICAL LABORATORIES

FRANCES TEXTOR

MARIO PALISKA

ONTARIO NURSES' ASSOCIATION

ONTARIO HOSPITAL ASSOCIATION

CONTENTS

Wednesday 28 February 2001

Personal Health Information Privacy Act, 2000, Bill 159, Mrs Witmer /
Loi de 2000 sur la confidentialité des renseignements personnels
sur la santé,
projet de loi 159, Mme Witmer

Cardiac Care Network of Ontario
Dr Chris Morgan
Mr Rob Forbes

College of Physicians and Surgeons of Ontario
Ms Cathy Fooks
Dr Rocco Gerace
Dr John Bonn

Centre for Addiction and Mental Health
Ms Jean Simpson
Ms Gail Czukar
Dr David Goldbloom
Dr Franco Vaccarino

Canadian Pensioners Concerned
Ms Gerda Kaegi

IMS Health Canada
Dr Roger Korman
Ms Anita Fineberg

ARCH
Ms Lana Kerzner

Police Association of Ontario
Mr Bruce Miller
Ms Isobel Anderson

Ontario Dental Hygienists' Association
Ms Pat Spencer

Association for Healthcare Philanthropy Canada
Mr Michael Farrell
Ms Anne Randall
Ms Sally Dobbie

Ontario Psychological Association
Dr Christian Keresztes

Canadian Association of Chain Drug Stores
Ms Deb Saltmarche

Church of Christ, Scientist
Mr Lyle Young

Mr John Manuel

Dr Philip Wyatt

Mental Health Legal Committee
Ms Anita Szigeti

College of Dietitians of Ontario
Ms Shirley Lee

Canadian Life and Health Insurance Association
Mr Charlie Black

College of Occupational Therapists of Ontario
Ms Jan Robinson

Ontario Federation of Community Mental Health and Addiction Programs
Mr Chris Higgins

Ontario Association of Medical Laboratories
Ms Virginia Turner

Ms Frances Textor

Mr Mario Paliska

Ontario Nurses' Association
Ms Barb Wahl

Ontario Hospital Association
Mr Frank Norman
Mr Murray MacKenzie
Mr David MacKinnon
Ms Deborah Tarshis

STANDING COMMITTEE ON GENERAL GOVERNMENT

Chair / Président
Mr Steve Gilchrist (Scarborough East / -Est PC)

Vice-Chair / Vice-Présidente

Mrs Julia Munro (York North / -Nord PC)

Mr Toby Barrett (Norfolk PC)
Mrs Marie Bountrogianni (Hamilton Mountain L)
Mr Ted Chudleigh (Halton PC)
Mr Garfield Dunlop (Simcoe North / -Nord PC)
Mr Steve Gilchrist (Scarborough East / -Est PC)
Mr Dave Levac (Brant L)
Mr Rosario Marchese (Trinity-Spadina ND)
Mrs Julia Munro (York North / -Nord PC)

Substitutions / Membres remplaçants

Mr Carl DeFaria (Mississauga East / -Est PC)
Mr Raminder Gill (Bramalea-Gore-Malton-Springdale PC)
Ms Frances Lankin (Beaches-East York ND)
Mr Bart Maves (Niagara Falls PC)
Mrs Lyn McLeod (Thunder Bay-Atikokan L)
Mrs Sandra Pupatello (Windsor West / -Ouest L)
Mr Bob Wood (London West / -Ouest PC)

Also taking part

Mr Phil Jackson, director,
strategic health policy branch, Ministry of Health and Long-Term Care

Clerk / Greffière

Ms Anne Stokes

Staff /Personnel

Mr Andrew McNaught, research officer,
Research and Information Services

The committee met at 0905 in committee room 1.

PERSONAL HEALTH INFORMATION PRIVACY ACT, 2000 / LOI DE 2000 SUR LA CONFIDENTIALITÉ DES RENSEIGNEMENTS PERSONNELS SUR LA SANTÉ

Consideration of Bill 159, An Act respecting personal health information and related matters / Projet de loi 159, Loi concernant les renseignements personnels sur la santé et traitant de questions connexes.

CARDIAC CARE NETWORK OF ONTARIO

The Chair (Mr Steve Gilchrist): Good morning. I call the committee to order, as we continue our hearings on Bill 159, An Act respecting personal health information and related matters.

Our first presentation this morning will be from the Cardiac Care Network of Ontario. I'd invite them to come forward to the witness table. Good morning and welcome to the committee.

Dr Chris Morgan: My name is Dr Chris Morgan, and I am the vice-chair of the Cardiac Care Network of Ontario. My colleagues with me are Mr Rob Forbes, to my left, who is our director of informatics, Mr Mark Vimr, who is our chief executive officer, and Jill Ross, who is our director of projects and operations.

I am a physician, but I am here to discuss the specific issues of the status of persons or agencies who hold disease-specific registries of health information. I would also like to touch on the issue of patient consent as it relates to the formation of these registries.

In about 10 minutes, I would like to briefly review the history of the Cardiac Care Network, how we use personal health information, what we perceive as the implications of the legislation for the Cardiac Care Network and perhaps suggest a recommendation for how the Cardiac Care Network and perhaps other disease-specific registries may be dealt with specifically under the legislation.

Very briefly, in the late 1980s you may remember there was a public perception of a crisis in cardiac care, that patients were dying needlessly while awaiting cardiac surgery. There was no objective way to assess patient urgency, leading thus to unequal access to care. There was an issue around appropriate resourcing of cardiac care, and there was no formal system in place to assist either patients or physicians in accessing care. The Ministry of Health at that time did commission an investigation of cardiac surgery. It was centred on a specific institution but in reality examined the cardiac care system in the province. In its final report, it recommended the formation of the Cardiac Care Network. The mandate of the Cardiac Care Network, which was formed in July 1990 as an unincorporated body, was twofold: first, to provide liaison and coordination of cardiac surgical patients throughout the province; and the second important matter was to advise the Ontario Ministry of Health on matters relating to cardiac surgery.

To meet this mandate, as our initial strategy we formed a standardized system for the triage of cardiac patients in all of Ontario's cardiac centres. That involved the development of an accurate, reliable database using standardized terminologies. We also used that database not just for patient care but for advising the ministry on system-related issues. In each hospital providing advanced cardiac care, there is a regional coordinator. Mostly, these are cardiac care nurses, although they're not exclusively cardiac care nurses, and they are the patient interface. They coordinate the collection of clinical data, they facilitate communication between physicians and patients and their families, they in some instances facilitate referral between institutions and they work with physicians and hospitals to monitor patients who are on the waiting list. They also provide an important role as an information source for patients and families. They are employees of the cardiac centres. They use the data at the institutional level as a management tool for patients.

In addition, the data which is collected at an institutional level is downloaded to a central registry at the Cardiac Care Network on a regular basis. This database, which was initially for cardiac surgical patients but has been extended beyond that, was implemented in 1991 and now holds many thousands of patients. It was designed as a waiting list management system, and every patient in the province who is referred for a cardiac procedure is now registered. It calculates an urgency scoring system and so on.

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While the data is currently held in the hospitals and downloaded to a central registry, we actually envision as part of our information technology that the data will be entered directly into the central registry, where it may be accessed by individuals from the hospital. So an agency such as CCN will be holding information with personal health information identifiers included. We use the data for management of patient care, for monitoring and evaluation of access, for research and planning, for issues of funding and accountability and for communication with many stakeholders.

Currently, our use of personal health information is limited to the monitoring of individuals who are on waiting lists so as to assist the providers in delivering care in an appropriate time span. We do disclose data to appropriate researchers-most importantly, the Institute for Clinical Evaluative Sciences, or ICES-after approval and review by our informatics committee. So we do have internal processes for that. We do have anonymous and aggregated data, which is used to monitor utilization and access on waiting lists, and we provide population-based analyses to assist the network in providing clinical and planning advice to the ministry. Our data are credible. There is confidence in the data because it's jointly monitored by a number of bodies. They are objective in that they are subjected to independent data analysis, and they've been used by many bodies, including the CCN, the ministry, JPPC, district health councils, the restructuring commission and so on. Our data has in fact received national and international recognition as being a model for a disease-specific registry.

We are expanding our data management to include procedures such as pacemakers and to include a new pilot project in cardiac rehabilitation. What is a bit of a step forward is that in the cardiac rehabilitation it's not just going to be a registry, but it's also going to be used somewhat as a management and evaluation tool.

What do we perceive as the implications of the legislation? In order to continue to advise the minister and fulfill our mandate, we believe that we will need to continue to collect personal health information. As a person who maintains a registry of personal health information that relates to a specific disease or condition, we consider ourselves to satisfy the definition of a health information custodian, and similarly, as an adviser to the minister as a system monitor, we presumably would meet the criteria of a health information custodian. We are supportive of the intent of the legislation, and we are preparing to comply with the provisions of the bill. We understand the need for strict rules and procedures regarding the collection of the data, the protection of the information, the necessity for consent where prescribed, the use and disclosure of this information and the needs of patients to access their own records.

However, there are a number of issues. CCN is an unincorporated entity. To a degree, we do not have standing as an independent entity. Our role is changing. We're not just a registry any longer; we're beginning to take on roles around the monitoring and provision of care. In our opinion, in the legislation-the draft that we have seen-the definition of a "registry" of information is not entirely clear. I think it's also important to note that there are a growing number of similar provincial networks. For instance, there is Cancer Care Ontario, which is specifically named in the legislation as a custodian of health information, but there is also a joint replacement registry and so on. We would perhaps be looking to recognize that all of these custodians would have similar status.

So we are a little bit unclear about our particular status in the future under the law. We recommend to you, respectfully, that CCN and similar health networks, as are deemed appropriate by the Legislature, should be explicitly prescribed as health information custodians and that we be encouraged in and permitted to continue with our role to provide the tools to both providers and government promoting equity and quality cardiac care at the level of the patient, the provider and the system.

I'd just like to very briefly touch on the issue of consent. I think we all appreciate the importance of consent and informed consent, but it's important to balance that off without raising an inappropriate barrier to the collection of necessary information, our concern being that if the consent requirements are too arduous then the ability to collect comprehensive and complete data may be impaired.

Thank you for your attention. We'd be happy to answer questions.

The Chair: Thank you very much. That leaves us just under three minutes per caucus.

Mrs Lyn McLeod (Thunder Bay-Atikokan): I appreciate your concern with paragraph 12 of subsection 2(1), "A person who maintains a registry of personal health information that relates to a specific disease...." It is a little vague, particularly the use of the term "person." But is there not a danger if the legislation becomes too specific in listing registries that it becomes difficult to be inclusive of the development of registries in the future?

Dr Morgan: Yes, I think that's a good point and perhaps the issue here is to make sure that current and future persons who hold these kinds of disease-specific registries are recognized in the act without perhaps naming each individual one.

Mrs McLeod: I think that was probably the intent of paragraph 12.

Dr Morgan: Yes.

Mrs McLeod: On the issue of consent, and not being unduly burdened by the necessity of consent to the point where you can't responsibly do your own work, there is a proposed amendment from the provincial privacy commissioner in which there would be a lockbox provision that records could be used or could be disclosed for the purpose of providing or assisting in providing health care to the individual unless the individual has instructed the custodian not to make the disclosure. I don't think that would unduly interfere with the work that you have to do, as I understand it, because I assume you get consent now anyway for people who come into the network. If you're a health care custodian under paragraph 12, you would be free to exchange information with people, given that consent?

Dr Morgan: There are probably two levels of consent we need to be concerned about here. One is the consent at the institutional level for the active management of that individual, and where practical today when patients enter the registry they're informed that such a registry exists and how it may be used. There's also a secondary level of consent. Does the individual consent to the use of anonymous health information for research and monitoring purposes?

I think our concern would be that if the consent process becomes very arduous and a significant number of individuals fail to consent to the use of information then the whole comprehensive nature of our data collection is lost.

Mrs McLeod: But with that lockbox it doesn't affect anonymous information, as I understand it.

Dr Morgan: It should not. I think that would be important to us.

Ms Frances Lankin (Beaches-East York): Could you give us a little more detail on what consent is sought now for someone to be entered into the registry? You said "where practical."

Dr Morgan: As you may recognize, there are a number of patients who enter the advanced cardiac care system under urgent or emergent circumstances. In a middle-of-the-night episode of care, the individuals who collect the data may not even be around at that time, so the data may be entered the next day or whatever, and it may not be practical to obtain consent under those circumstances. An individual walking in for a scheduled visit will be entered in the registry. They are informed of the nature of the registry and so on at that particular point. So under those circumstances specific consent is obtained, although it's not signed consent. But you can understand there will be circumstances where the urgency of a situation will not allow the consent process to take place.

Ms Lankin: I think all of us recognize the phenomenal success of the Cardiac Care Network and want to ensure that kind of co-ordination of service is there. I'm sure all the cardiac care patients in the province want it to remain successful, as well. I think we're trying to find, as you said, the balance that needs to be struck.

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You mentioned that you do research yourself: aggregate epidemiological numbers are produced; those are anonymized. You also mentioned that you shared information with ICES. Is any of the information shared with outside research organizations, like ICES, with patient identifiers?

Dr Morgan: Can I just turn to one of my colleagues? Rob.

Mr Rob Forbes: Currently we do provide ICES with personal health information which they in turn pseudonymize using their particular method for pseudonymizing records so that none of the people doing the research could identify the patient corresponding to their record. But CCN does provide personal health information to ICES. We have not, to this point, provided personal health information to any other researchers.

Ms Lankin: And that was, as you said, after approval of your committee. Presumably there's an agreement in place with how they will treat the information when they receive it?

Mr Forbes: Yes.

Ms Lankin: Why is it, though, that you provide it with personal identifiers instead of anonymizing the information yourself first before you send it over?

Dr Morgan: One, we do have a specific agreement with ICES, with a specific contract. Two, ICES has, I believe, special dispensation.

Ms Lankin: Yes, I realize that. I'm just-

Dr Morgan: The third thing is they do extensive matching of records using other data sources such as CIHI and so on. Some of the information, address codes and things like that, are necessary for their matching.

Ms Lankin: Is there a particular aspect of the research that involves this data that requires matching? I'm trying to get some case examples before the committee so we can understand the important research that's being done that requires personal identifiers.

Dr Morgan: I think a couple of specific things: as you know, we produce an annual cardiac surgical report card on outcomes of cardiac surgery which is hospital-specific. We've also been trying to look very carefully at small area variations in disease throughout the province and I think that was highlighted in the last ICES atlas on cardiac disease. I think those are examples of why some of that information is necessary.

Mr Bob Wood (London West): I'd like to make sure I correctly understand the consent procedure you have now. If I have a cardiac event that makes me a candidate for entry into the network, you get my consent to go into the network; is that correct?

Dr Morgan: At the present time, we would obtain your verbal consent. We would explain the nature of the database and the fact that you would be entered onto it. That's if you walk in. If you come in an emergency or crisis situation, that opportunity may not be there, but you will be entered into the database.

Mr Wood: After that, do you ask for any other consent for research purposes?

Dr Morgan: Not at the present time.

Mr Wood: What ethics review is there of the research that is done with your data?

Dr Morgan: ICES has their own internal mechanisms for that. Our informatics committee, which is responsible for data management, approves any research requests, and that's a multidisciplinary body. There is no specific research intervention or manoeuvre here, as one might do in a trial of a therapy. So we do not subject this to an external ethics review.

Mr Wood: Would you have a problem if the legislation were to mandate doing that? Would that create a problem? Obviously it would be more work, but would that create an operational problem for you?

Dr Morgan: I wouldn't say that I would have a specific problem with that. Again, how high does it raise the barrier?

Mr Wood: Would you have a problem if the Information and Privacy Commissioner would have the ultimate signoff?

Dr Morgan: No, I wouldn't have a problem with that.

Mr Wood: The last question is this. You've expressed some concerns which I understand. Do you have specific changes that you'd like to see to the legislation as drafted?

Dr Morgan: No. I think we came here today just to raise some concerns rather than make a specific recommendation.

The Chair: Thank you for taking the time to come before us here this morning.

Dr Morgan: Thank you very much for hearing us.

COLLEGE OF PHYSICIANS AND SURGEONS OR ONTARIO

The Chair: Our next presentation will be from the College of Physicians and Surgeons of Ontario. Good morning and welcome to the committee.

Ms Cathy Fooks: Good morning. My name is Cathy Fooks. I am the director of policy at the college. With me this morning is Dr Rocco Gerace, who is the president of the college and is an emergency physician from London, Ontario. To his right is Dr John Bonn, who is the registrar and a family physician and lawyer from Trenton. Dr Gerace will take us through the presentation, which I believe is just being disseminated now. It's in the package that you'll get. It probably won't come as a surprise to you, what we're going to say. Then we've reserved, we hope, about 10 minutes for questions.

Dr Rocco Gerace: We appreciate the opportunity to address you this morning, as the confidentiality of personal health information is an issue of great importance for us. I realize you've already heard from a number of colleges and the Federation of Regulated Health Professions and I do not want to repeat what those organizations have told you. We agree with the analysis and recommendations you have received thus far from them.

I have three objectives this morning: firstly, to describe for you how the CPSO currently uses personal health information and the safeguards we have in place to protect privacy and confidentiality; secondly, to add a few more examples to the ones you have already been given about Bill 159 and its incompatibility with our regulatory requirements under the Regulated Health Professions Act, or RHPA; and finally, to propose a different route to deal with the need for a legislative framework for colleges. We would be pleased to answer questions that you may have at the end of our presentation.

The college's job is to regulate the practice of medicine in Ontario. We are given this responsibility under the RHPA and in carrying out these responsibilities we are granted the authority to collect and use personal health information. Medical records are our window into the medical practice of physicians in this province. Sometimes we use this information without the knowledge or consent of a patient. I'll come back to this point further in the presentation, as I realize it may cause some concern.

On the basis of reviewing medical records, the college has the authority to carry out a number of dispositions. It can order educational assessments and upgrading of a physician. It can restrict the clinical activities of a physician; for example, prohibiting prescribing of certain medications. It can suspend a physician from practice until terms and conditions are met. Ultimately it can revoke an individual's licence to practise.

This use of records is clearly not for the provision of direct patient care, but undertaken for a secondary and related purpose. The federal Privacy Commissioner said to you, "The principles of fair information practices require that personal information cannot be put to a second use, related or otherwise, without the consent of the person from whom the information was collected." We must respectfully disagree. In our view, there are other competing public interest principles that need to be balanced against fair information practices. Our role is directed at protecting the public from harm and improving the quality of medical care in this province. These public interest principles need to be balanced against privacy rights.

Let me describe briefly how we use personal health information and the safeguards we put in place to protect it. Section 36 of the RHPA provides for complete confidentiality of all the information we receive. I will quote the words in the act: "shall preserve secrecy with respect to all information that comes to his or her knowledge in the course of his or her duties and shall not communicate any information to any other person." This provision applies to council and committee members, employees and anyone we may use as experts or inspectors. There are a few exceptions; for example, we can convey information about physicians to other medical regulators, but this would not include identifiable patient information.

There are three key statutory processes under the RHPA that are dependent upon patient records. They are investigating patient complaints, registrar's investigations and quality assurance assessments. I have summarized these for you in appendix A, and I will go through them one by one.

First, investigating patient complaints: the public complaints begin with someone bringing a complaint about a physician to the college. We deal with approximately 1,400 complaints a year that go to the complaints committee. If we require medical records from a physician or a hospital, the patient or the patient's legal representative signs a consent form giving us access to those materials. A copy of that form is appended to this submission for your information. The complaints committee reviews that material and makes a decision about further action against the physician. If the case proceeds to the discipline committee, the hearings are required by law to be open to the public. The complainant usually testifies. However, we have the ability to close portions of the hearing and we have the ability to order a publication ban. This means that news media may not identify individuals and the names are not used in the written decisions of the discipline committee.

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The second general area is registrar's investigations. Under section 75 of the RHPA we may investigate a physician if there are reasonable and probable grounds to believe that an act of misconduct has been committed. This type of investigation is usually triggered by information from a coroner, a hospital chief of staff or a concerned professional. We investigate approximately 50 of these types of cases annually. In these situations the notions of knowledge and consent don't hold. We can't ask permission in advance from a patient. The RHPA does provide us with the authority to enter premises and to "examine anything found there that is relevant to the investigation." This must remain paramount. In these investigations we have an expert review the care provided and it is the expert we use to testify at the hearing. Patient identifiers are removed.

Quality assurance assessments: the importance of regular review and audit for the improvement of delivery of health care is well established. In fact, Bill 159 recognizes this activity in hospitals. Again, we rely on records to assess the quality of care provided and we can't ask permission in assessing those records. Quality assurance decisions are not public documents under the RHPA, and all information received during that process is specifically protected from any other use.

Speaking generally then, does Ontario need legislation in this area? I think the answer to that is yes. The College of Physicians and Surgeons supports the need for comprehensive legislation to govern the collection, use and disclosure of personal health information. Should colleges be covered in a legislative framework? Absolutely. Should colleges be designated as health care custodians under Bill 159? The answer is no.

You have already heard a number of examples from other colleges and the federation of areas where Bill 159 would need amending so as not to impede the regulatory process. Let me add a few more. Section 21(7) of Bill 159 allows for an individual to revoke their consent to the collection, use or disclosure of personal health information. This may leave the impression that if someone brings a complaint to the college and then some time in the future revokes the consent for the use of the information, the college must stop its investigation or proceeding. The courts, however, ruled otherwise. They have said that the college must continue, once made aware of a potentially harmful situation. I quote Justice Rosenberg of the Ontario Divisional Court. He says, "It is important that the complaints committee understand that once the complaint is made the complainant should no longer have control of the proceedings and that the investigation must continue into the complaint"-and I emphasize-"whether or not the complainant asks that it be halted." This does not imply that we would compel a patient to testify but it does mean we must continue with our investigation.

Section 33 allows for the disclosure of information for the purpose of eliminating or reducing a risk to an individual's safety. In 1998, the college passed a policy that allowed a warning to be given on the basis of a risk of serious harm to an individual or group of individuals. This policy included specific criteria that had to be met in order for the duty to warn to be permitted. These words were chosen carefully based on existing case law. Unfortunately, Bill 159 has narrowed the college's existing policy in this regard.

Section 40 provides strong protective wording for quality-of-care activities that are conducted in a hospital or by another prescribed facility, organization or person that provides health care. Unfortunately, colleges are left out of section 40. Why would quality assurance or quality improvement activities within institutions be included but not the same activities undertaken by the regulatory body looking at physicians across the province?

Finally, like others who have appeared before you, the CPSO also has general concerns with the broad regulation-making authority given to the minister in this act. It would potentially permit the minister to change some of the fundamental concepts of this legislation through regulation in over 30 different areas.

So where do we put the colleges? I don't want our concerns with Bill 159 to be viewed as resistance, nor are we proposing exempting colleges from new obligations in this area. It is time to legislate information and privacy practices for colleges. When the RHPA was drafted, the focus was on secrecy and confidentiality. The RHPA is very clear about how we protect the confidentiality of the information we receive. However, there is not explicit consideration of privacy; that is, how we collect and use the information internally. The concepts in Bill 159 provide an opportunity to spell out in law best practices in this regard.

The CPSO believes that codifying clear principles for the collection, use and disclosure of personal health information in a regulatory environment is a must. Our preference would be to include a new section in the RHPA specific to the purposes of colleges. It is the RHPA that spells out our processes. It is the RHPA that currently gives us the authority to view records. It should be the RHPA that spells out our information practices as well.

You have asked for a list of specific sections in Bill 159 that are incompatible with the RHPA. We will work with the other colleges to prepare that for you.

Having said that, we still recommend that rather than attempting to amend numerous sections of Bill 159 to fit a regulatory process, we can incorporate many of the principles of Bill 159 into the RHPA. For example, part IV, describing security, safeguards, the need for written policies etc, could be built into the RHPA. Furthermore, we would like the wording of section 40 to cover the quality assurance programs of the college. The wording in section 40 is better than the wording we currently have in the RHPA.

There is the possibility that the RHPA will be opened later this year based on a separate review by the Health Professions Regulatory Advisory Council, or HPRAC. As one of the consistent recommendations to HPRAC was to change the ability of colleges to provide more public information about investigations and assessments, privacy protections will be essential. However, if that is not a viable option and we are to be a part of Bill 159, we are prepared to work to ensure that current provisions do not compromise our ability to regulate the practice of medicine effectively.

As I close, I want to re-emphasize that health information is so important that we need to get this legislation right. Being denied your right to privacy is a terrible thing, but being the recipient of really bad or unethical care is a terrible thing as well. Physicians specifically, and the college in general, have always held patient confidentiality sacred. Notwithstanding that, we ask that colleges continue to have free access to information with explicit limits on its use through confidentiality provisions and privacy protocols. We are legislatively mandated to be the watchdog of the practice of medicine. We must not be compromised in this role.

We would be pleased to answer questions.

The Chair: Thank you very much. That leaves us about two minutes per caucus. We'll start this time with Ms Lankin.

Ms Lankin: I have no questions, just a general comment. I appreciate the presentation; it's very clear. I appreciate Ms Fooks's attendance here the last couple of days. I think that's reflected in the presentation, so that's really helpful. I'm sure she has shared with you that the ministry has presented to us that it certainly is not their intent that there be a conflict or that anything within this act undermine the regulatory role of the colleges-I'm sure it's not the committee's intent either-and that we have asked for HPRAC to take a look a this.

I think your suggestion of working with the other colleges and the ministry and HPRAC is an excellent one. I would like to recommend that someone take the initiative, go ahead and get a meeting set up and get started on that because it would be beneficial for this committee to see a consensus approach come back from those three parties, as opposed to our trying to sort through it and figure out what the amendments should be.

Thank you again for your presentation.

Mr Wood: You have the power to compel production of documents, do you not? You can issue a subpoena for documents?

Dr Gerace: Ultimately, yes.

Mr Wood: Whom do you get the subpoena from?

Dr John Bonn: The authority is in the RHPA itself.

Mr Wood: Who actually issues the subpoena is what I wondered.

Dr Bonn: It goes out over my signature as registrar. I am empowered, with reasonable and probable grounds, to conduct a section 75 investigation. That gives our inspectors the powers of search and seizure of records. That goes out over the registrar's signature.

Mr Wood: One thing we could do is say, "OK, you continue to have that power but we're going to give it, say, to a court." So if you want to have access without consent to a patient's records, you've got to get, in effect, a third party to authorize you to do that. If we did that, just for the sake of discussion, would that create an operational difficulty for you?

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Dr Bonn: Extreme operational difficulty.

Mr Wood: Why is that?

Dr Bonn: Timing. Many times I will get a notice and have to act expeditiously in order to protect the public. We're talking about-

Mr Wood: How do you differ from the police, for example, in that regard?

Dr Bonn: I really don't have the information as to how the police will get a warrant on a quick notice.

Mr Wood: They can get them 24 hours a day.

Dr Bonn: I don't know if our college would have that ability, because we don't work daily with the judicial system like the police do. If you're talking about going before a justice of the peace or a judge of the court in order to get authority to investigate, I foresee all sorts of difficulties for colleges attempting to do one thing: protect the public. Our motivation is not to seek out information for any purpose other than to protect the public.

Mr Wood: Do you think you're different from the police?

Dr Bonn: No, sir, I do not. I think the field that we are working in is entirely different.

Mr Wood: Why? They do the same thing.

Dr Bonn: The milieu that we work in, hospitals and physicians' offices-my understanding is this is why colleges had been given this authority, because of their expertise and knowledge of the system. We have a unique expertise in health care as providers. I'm talking about the profession. The college has been given the responsibility of ensuring that the care provided is that which the public expects and which they are due. So we use that in a manner that is designed to expedite any concerns that there are about care.

As you know from previous submissions to this Legislature, we are constrained by the legislation as it is. To add another layer of authority that is required so we can do our job, I wonder whether we would continue to have concerns expressed in this Legislature and in the media about the time it takes us to do our job. That's my only concern.

Mr Wood: I would invite you to take a look at how the police deal with compelling production of documents and tell me how your work differs. I realize you haven't studied that in detail now, but that would be helpful, at least to me and perhaps to other people who are taking a look at this legislation.

Mrs McLeod: Although we haven't moved into the official amendment process yet, I think there is a growing realization, as Frances Lankin has indicated, that we need to look at changes to the way in which Bill 159 is drafted to deal with the colleges if we give primacy to privacy legislation over other acts, which some of us believe we should, to specifically exclude the RHPA from the provisions. But you've raised a number of issues today that then need to be addressed that the other colleges, by and large, haven't brought forward.

I concur with Ms Lankin's suggestion, Mr Chair, that we ask the RHPA review to start to look at some of these issues, because I understand it's in its next-to-final stages in terms of the preparation of their report.

I did want to ask about the issue of registrar's investigations. You've indicated that patient identifiers are removed in testimony in those investigations. Is it required by law that the patient identifiers be removed or is that a practice of the college?

Dr Bonn: It's a practice of the college.

Mrs McLeod: Is that something that should be specified in law in terms of the privacy rights of individuals?

Dr Bonn: I see no downside except for the logistics of removing all patient identifiers in documentation that is presented to our committees. Our committees will literally get bankers' boxes of materials relating to patient files, especially if there is hospital care involved. The actual logistics of removing patient identifiers would be quite overwhelming, to put it mildly.

Mrs McLeod: So it would just be in the testimony.

Dr Bonn: Yes.

Mrs McLeod: Is there a requirement on the college, through the RHPA, to notify patients who are involved in the investigation, who are affected by your investigation of a fraud?

Dr Gerace: There is not.

Mrs McLeod: If misconduct involves mistreatment in some way, then the patient surely has a right to know that. We've been dealing with issues of non-correction of inaccurate health records, for one thing, but there could also be treatment implications for patients who have not been properly handled. Where does the obligation of the college back to the patient come in this kind of investigation?

Ms Fooks: That's exactly the point. Currently we are not required to do it. Our point to you is, there are a whole series of issues that were not considered in 1993, because by that stage people were sick to death of the RHPA, after 12 years of study, that have really come to light now that we've worked with this legislation.

This is a personal opinion now, not a college position, but I personally think that nobody considered the privacy issues. They just assumed that as soon as information came to the college we would use it and keep it confidential, which we do. But we're in a new era, so I personally think that colleges need to be required to go back, whether it's 159 or RHPA. We'd prefer RHPA for simplistic reasons.

Mrs McLeod: So you would put that as a privacy issue?

Ms Fooks: Yes.

The Chair: Thank you for coming before us this morning.

CENTRE FOR ADDICTION AND MENTAL HEALTH

The Chair: Our next presentation will be from the Centre for Addiction and Mental Health. Good morning and welcome to the committee.

Ms Jean Simpson: Good morning. I'm Jean Simpson. I'm the executive vice-president and chief operating officer at the Centre for Addiction and Mental Health. With me today to make the presentation and to answer your questions are Dr David Goldbloom, our physician-in-chief, Dr Franco Vaccarino, our VP of research, and Gail Czukar, our general counsel.

The Centre for Addiction and Mental Health was created in 1998, a successful merger of the Addiction Research Foundation, the Clarke Institute of Psychiatry, the Donwood Institute and the Queen Street Mental Health Centre. The centre is a teaching hospital fully affiliated with the University of Toronto. It has been recognized by the World Health Organization as a centre of excellence, one of four in the world. It is also the largest mental health and addiction facility in Canada.

The centre brings together internationally recognized, biological, clinical and social researchers, a pre-eminent treatment facility, a broad range of professional training, as well as a province-wide network of community program staff. As a result, we have a unique capacity to focus our research on the most pressing needs and also to take the research result and translate it into knowledge and action. The centre is also working on addressing the issue and the elimination of the stigma that's associated with mental illness and people suffering from addiction problems.

We really appreciate the opportunity to be here. I'm here because at the centre we recognize that health information is a very important issue. We staunchly defend confidentiality. We also recognize the need for health information for good clinical practice, for research, for system planning, as well as for accountability.

Before I turn it over to my colleagues, I would just like to mention that we are presenting our draft submission. We have not had the opportunity to take this for approval to our board of trustees. We anticipate doing this over the next two weeks and we will then submit an approved document for your use.

Gail Czukar will give you an overview of the centre's issues. Dr David Goldbloom and Dr Franco Vaccarino will address the clinical issues and the research issues respectively.

Ms Gail Czukar: In general, the centre supports the need for legislation to govern information in the health system. We want information to be used to improve the understanding of mental health and addiction problems and to alleviate those problems. However, we believe that use must be balanced with patient confidentiality, and we don't think Bill 159 in its current form achieves that balance successfully.

Patient confidentiality is not only an essential precondition to successful treatment, which I think you've heard from others before you, it's an issue of basic human dignity and respect. People with mental health and addiction histories are stigmatized and their lives can be impaired forever by an episode of mental health or addiction treatment. They fear that increased access to information about their status will add to the stigma and discrimination already suffered by mental health consumer survivors. They fear that symptoms of legitimate physical problems that require urgent treatment can be misinterpreted in light of a psychiatric treatment history that might be available in a general hospital record, for example, and the results of that can be very serious for them.

I think the telling statement we heard from the consumer survivors we consulted is that this legislation could change the very meaning of confidentiality and cause people with mental health and addiction problems to withhold critical information in circumstances that are often life-threatening, because that's when they're seeking help.

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Even if treatment is successful, the effects of stigma can be very far-reaching. One of our former patients, when well and gainfully employed, sought a loan. When the bank's loan officer, who was very friendly and positively disposed, started to enter information into the bank's computer system, the person sitting across the desk could see a huge sign come up on the computer that said "psychiatrically challenged." So the loan officer changed their tune and said, "We're very sorry, but we can't give you a loan," and ushered the person out of the bank. That person thinks that information was obtained by Equifax, probably illegally, and distributed to credit institutions. Needless to say, that consumer survivor is not very enthusiastic about the idea of legally sanctioned broader sharing of that information.

We've provided a bit of context in terms of the rules that we now operate under. The mental health system, of course, has had rules in the Mental Health Act for some time that we have found we can work with. There are a few problems with that which are outlined here, but I'd prefer to spend the time on our response to this legislation. As I've said, we agree with the principle of a common set of rules. I'm going to tell you a little bit about the parts of the legislation that we feel are very positive and need to be kept. Dr Goldbloom is going to tell you about our issues with respect to sharing information in the care context, Dr Vaccarino is going to talk about the research context and then I will address a few specific issues.

The patient's right-of-access provisions in this legislation are very important. Of course, we have these under the Mental Health Act now. I remember that in 1978, I believe-I can't remember if it was 1978 or 1986 when these went in-there was much machination about whether psychiatric patients should have access to their records. It was a hard-fought battle. That has existed for some time and the sky hasn't fallen in. So we feel if it can happen in the mental health system, it can happen all over the system.

Substitute decision-making is key for our clients. We need to have provisions that deal with substitute decision-making for information. We also like the quality assurance provisions. We also want to ensure-and I think it's done in this definition-that personal health information includes information about addiction clients. That's extremely important.

We do have some difficulties, and I'm going to let Dr Goldbloom address the first of those.

Dr David Goldbloom: The last time I appeared before a number of people on this committee in this room was around the subject of Bill 68, a subject which was divisive within the mental health community and within the patient community. I feel today it's a very different situation. This is far less divisive between care providers and recipients of care in terms of the perspective I want to outline to you around the protection of confidentiality and privacy in this legislation. I speak to you not only as someone who serves on the administration of the Centre for Addiction and Mental Health, but also as a physician who directly provides care to people with mental illness or addictions, and people whose expectations around the privacy and confidentiality of the information they share with me, their personal information, I feel very strongly obliged to defend.

As Gail indicated to you, we have long enjoyed within the mental health system a level of protection of privacy and confidentiality that has been several notches above that enjoyed by general health care facilities. Indeed, at a previous hospital where I worked, the psychiatric files within that general hospital were always stored separately from the general health files because of concerns of more casual approaches to issues of confidentiality. I am very pleased by the aspects of this legislation which elevate privacy and confidentiality of general health information to the level enjoyed around mental health information. I think that's a significant improvement.

I also think there should not be two standards of privacy for health information. There are many aspects around physical health information-one can only think of things like HIV status, for instance-that should enjoy every protection and privacy that mental health information or addictions information enjoy.

We strongly support the protection of this information and we are all too familiar with the stigma associated with disclosure. Our approach to stigma is not simply about protecting privacy but obviously promoting public knowledge and understanding of illness as a way of reducing stigma.

We also recognize this legislation is an attempt to balance protection of privacy with disclosure and sharing of information. We understand that balance. That is not new with this legislation, as you heard in the previous presentation, the provisions through the College of Physicians and Surgeons around duty to warn. We have provisions through things like form 14 for the release of confidential psychiatric information, mechanisms that safeguard the privacy of information without absolutely prohibiting its disclosure. I can tell you that there are critical clinical situations which I've encountered personally as a physician where there are other means, such as the administrator-to-administrator release of confidential information, that allow us to share between distinct psychiatric facilities essential information that is necessary for the continuity of care of our patients. However, we feel that the balance has shifted too far in this legislation around access, and access for purposes other than the provision of clinical care.

Confidentiality is fundamental to our provision of clinical care. It relates to the quality of the relationship that people enter into, their expectations, and the reality that people will withhold vital information for their understanding and for their treatment if they have concerns that confidentiality is not going to be respected. Further, with third party access, an additional concern is that once it is out there, much like an e-mail in cyberspace, the controls over where that information subsequently goes are even less protected than the access and disclosure provisions that are here.

One of our strategic directions as a health centre is in the provision of client-centred care. We respect in that context the fact that this is the information of our patients. They own this information. This is ultimately about them, and that means they have every right to be involved in determining how it's going to be released, when it's going to be released; it means getting their permission; it means getting access to their own information. We welcome this addition because it's something, as Gail already indicated to you, that has been a very positive experience in general in mental health care. It is extraordinarily rare that we would ever deny somebody their right to access their own clinical record in mental health, and we have to actually go to a review board hearing if we want to deny that access. Not only that, people have the right to request amendments under the Mental Health Act to their health record. That is also an important provision so that they feel they can set the record straight around the story of their own health care.

I am going to hand back to Gail Czukar more detailed discussions around sections 33 and 36. I don't know if you want to do that now or after Franco.

Ms Czukar: Why don't I just mention it now in the context of this discussion, because we think this is where it comes up. Of course, we're concerned about the lengthy list of disclosures in sections 29 to 37 and we think they're problematic; in particular section 33, the disclosure to reduce or eliminate risk. We think that the duty to warn should be more specifically targeted and kept closer to what the current common law is with respect to warning about threats that are related to a particular patient or client of the custodian against a specific individual or group of identifiable individuals. We often have third party information that clients may relate to us or family members may relate to us. We have no way of verifying that information, and for the practitioners to be under a duty to do something with that information would be problematic.

I know that you heard a presentation on this yesterday and we'd be prepared to answer further questions about it, but we want not just certainty but protection for those practitioners to know what they're supposed to do. Although it's a discretionary disclosure, I think that over time it will only take one incident, where something goes wrong and it comes to light that we had information that was not disclosed, for the risk management analysis to be, "Well, you should be calling the cops every time you have information like this," and then we have a problem.

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With respect to 33(b), as care of people increasingly takes place in the community, there's a need for community service providers and others to have information about risky behaviour of clients so that they can develop the right kind of risk management plan. We would like to see them be able to have that.

Finally, with respect to 36(1)(g), this section is way too broad and should be deleted. We think that clause (h) is sufficient for disclosure of information for investigation purposes. I'll leave it at that and let Franco speak to the research issue.

Dr Franco Vaccarino: Thank you for this opportunity to speak to this act. I'd like to say a few words regarding the implications of this act in the context of research. I also speak to you wearing two hats, both as a senior administrator at the Centre for Addiction and Mental Health and as an active researcher and scientist myself.

The centre supports the protection of personal health information collected for research purposes, but we believe that this information should not be subject to disclosure to authorities or others for purposes that are unrelated to research except solely in the discretion of the researcher in order to prevent harm to the persons or others.

The quality of health care research is entirely dependent on the willingness of people, including patients, to participate and be truthful in their responses. Allowing research information to be disclosed to third parties will have the effect of not inspiring trust and confidence in people who generously donate their time and information in really an altruistic sense toward the cause of curing disease or improving health care.

An important point and concern for us is also that allowing disclosure to third parties would have the perhaps unanticipated side effect, but it certainly would have this side effect, of decreasing people's willingness to participate in research studies. The concern here is that the very act of that happening would compromise the quality and validity of whatever research information is obtained as a result of that deficit.

The provisions in sections 27 and 32 regarding use and disclosure of previously recorded information for research purposes are useful safeguards, and the role of the research ethics review bodies has been addressed in other presentations and the CAMH supports this. I won't dwell on these points, but let me just underline the key role of the research ethics boards in this regard. The research ethics boards are key to maintaining the ethical integrity of our research and research programs, and issues relating to consent and confidentiality are reviewed by our research ethics boards. No research protocol or project gets done at our centre without the careful scrutiny and review of the research ethics boards, comprising not only bioethicists and medical ethicists but also active researchers and scientists. I'd like to just stress the importance of the research ethics boards in that context. At the end of the day, really, the ethical integrity of the research is the bedrock for our research programs. Any question regarding the ethical integrity of the research would not allow that research to go forward.

A final point that I'll make is that research information-we also have to be careful here-used for purposes other than research is something we need to keep our eye on and be careful about. The reason is that there is limited and possibly even misleading utility in the use of research information for purposes other than research. Research information is information in development. It has limited, if any, utility in a broader health context prior to it being fully fleshed out. So that information outside of the context of research purposes and in the context of the centre, in my mind, would have limited, if any, utility in the broader context. I'll stop there.

Ms Czukar: That brings us to the final point with respect to-

The Chair: I'm going to have to ask you to make your final point in about 30 seconds.

Ms Czukar: I'm sorry, we haven't left time for questions. In that respect, we have differing views on the mandatory disclosure provisions, and we've suggested an alternative approach in our paper; that is, independent review. We also would like to see the oversight and enforcement provisions substantially increased. We think that is the ultimate safeguard of confidentiality, and the provisions that are there are not strong enough.

The Chair: Thank you very much for your detailed presentation before us here this morning.

CANADIAN PENSIONERS CONCERNED

The Chair: Our next presentation will be from Canadian Pensioners Concerned. Good morning and welcome to the committee.

Ms Gerda Kaegi: Thank you for giving us the opportunity to appear before you today. Canadian Pensioners Concerned, founded in 1969, is a membership-based, non-partisan advocacy organization of mature Canadians committed to preserving and enhancing a human-centred vision of life for all citizens of all ages.

What I'd like to do is draw attention to some of the key points that we have made in our submission. You will have the detailed one in front of you.

There is a need for legislation to regulate the right to privacy for individuals. A critical issue, in light of the information that has become public over the violation of that privacy over a number of years, and let me just take this year in particular: the case of the OPP officer disclosing personal health information to a citizen in Walkerton recently, information she had not received from her physician; the story about a Dr Sears who had set up business to provide personal health information pertaining to potential employees of corporations such as the TTC and Canadian Tire. He is purported to have said that he can get it one way or another. That is unacceptable, in our view. That was in a story in the Toronto Star of January 8 of this year.

We then have concerns about the use of the term "retirement home" in subparagraph (vi), paragraph 4 of clause 2(1)(d). As an organization, we have made many deputations, many submissions to government for the last 10 years about retirement homes. We believe that there is no clear definition in law of the meaning of a retirement home. Would it include a retirement community, a retirement village, a retirement home made up of individual apartments, or does it mean a care home? We find this term is very, very unclear. Furthermore, does it mean everybody in a retirement home is a patient? I don't think so. So we would like to have some rethinking about the use of the term "retirement home."

We are also very concerned about a practice that is common among legislative bodies across the country of leaving things to regulation. Regulations are not subject to debate in the Legislature. If something is needed, spell it out in the legislation. If a change is needed, amend the legislation so we'll have full public debate. We are really concerned in this bill how much is suggested to be covered by regulation.

We see a really important role for the Information and Privacy Commissioner. There is a role identified, but we don't think it's strong enough. We believe that resources and authority are needed. There should be a yearly report to the Legislature on the citizens' experiences. We believe that commissioners should have the power to investigate, get evidence and determine redress for abuse of privacy.

We argue that those who hold the information, and there are a number of sources set out in the proposed legislation, must get informed consent to release information. We also believe-and I was interested to hear the preceding presentation-that clearly partial consent should be available to the individual. Some things are not necessary and should not be included if the individual believes they don't want it to be included.

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We argue that an oath of confidentiality must be taken by all those who have access to personal health records, and that any violations must feel the full force of law. I again go back to that Toronto Star story of Dr Sears, where he said he phoned hospitals, he phoned clinics, he phoned receptionists, and he got the information. That is of deep concern to us. We understand that it is in the public interest, and it can be in the individual's interest, to have records available when providing care. But the circumstances must be clearly controlled.

We raise the issue around fees. It appears in two places in the legislation. It seems to us it's not much use having the theoretical right to something-access to records or access to a complaint procedure-if you cannot avail yourself of these rights because you haven't got the money to do so. So we really have a significant concern around the issue of fees.

We then also are very concerned about the fact that employers should be able to ask potential employees to sign a release to give them access to their health information. This isn't a situation of equals. The applicant has everything to lose if they say no, and even then, according to Dr Sears, the employer will get it anyway. We really believe that this government and this province have the power under the Constitution to regulate that kind of action for employers working in this province. So we would argue and plead with you to prohibit that kind of application form, because in our view it's very dangerous.

In concluding, we do express concerns, and I know it's sort of incidental at the moment, with the introduction of a smart card, one that links all kinds of unrelated information. Inevitably, they will be linked electronically, and privacy will be lost. I know I'm reaching ahead a little bit with that comment, but we really do have deep concerns about that, especially with the ease of getting access through the electronic systems of information collection and information distribution.

We believe we have to have legislation that protects the privacy of our health information. We don't believe that Bill 159 does the job. So we ask you, please have legislation, but there's a lot of room for improvement, in our view. Thank you very much.

The Chair: Thank you. That affords us about three minutes per caucus for questioning.

Mr Wood: Have you had a chance to review the federal Privacy Act?

Ms Kaegi: I've looked at it, but because this was the first one, we felt that this was most crucial for our attention. It is the responsibility of the national division of our organization.

Mr Wood: Do I take it from that you're not really in a position to comment on the federal act?

Ms Kaegi: I wouldn't feel comfortable in commenting on it. I have looked at it. I realize that it has import for what happens here, but I also know, because my background is political science and I taught local government and provincial government, the areas of jurisdiction and what the province can do. So that was my focus.

Mr Wood: Second point: we've heard from some of the submitters that there are certain kinds of research that effectively can't be done because of small samples and so on, if you have to get the consent of the people whose data are going to be used. Assuming we come to the conclusion that's correct, there are indeed some areas of research that can't be done if we don't permit the researchers to use the data without consent, do you think we should come down on the side of saying if you have the proper oversight, in those limited cases, you can get access to the data and to the research, or do you think we should come down on the side of saying no, in those circumstances you can't do that kind of research in Ontario? If we get to that point, which of those routes would you encourage us to take?

Ms Kaegi: I understand it's a very hypothetical question you've asked, and you're struggling with that issue. My concern is, as we read through Bill 159, the problem is if it's a very small sample, you could ultimately identify the individuals. There has to be some way to protect that.

I believe very strongly in the importance of research. I think it's critical. We need it. On the other hand, I believe the right of the individual to privacy must be protected, and I believe there are ways that could be developed to ensure the protection of that privacy, even with small samples.

Mrs Sandra Pupatello (Windsor West): I wanted to take you to point 9 that you made in your presentation regarding employment, when you suggest that the legislation should prohibit employers from asking for consent. It's of interest that it has come up several times that already today when people sign a contract in order to gain employment with a particular firm, they sign a contract, often not realizing that that contract also automatically gives consent to submit personal health information over to the insurance company that's providing benefits to the employees. People just don't realize that even today we've signed off on a whole bunch of info that's going out there.

It's a delicate balance. An insurer would have the right to know what preceding health history there is in order to provide health coverage. It's just that you're in a Catch-22: if you don't sign the contract, you likely won't get the job. You've spelled out clearly what happens when you don't sign the contract. What kind of recommendation would you have from an insurer's point of view?

Ms Kaegi: I'm not an insurance company, but if I go back in my own employment experience, I was teaching and I was required to have a medical to ensure that I did not have a communicable disease. I had a chest X-ray and so on. I accepted that as needed for the job. It seems to me that I was also, when I was employed, therefore insured by the insurance policy of my employer, which was Ryerson University. That was not a problem and I don't see that it should be a problem. I think the fact that you would open your whole medical history in a way that is totally unnecessary to the needs of the job is unacceptable.

If there are certain conditions that are required for public safety, for the protection of public health, for a medical check of some sort to be done, let that be part of the terms of hiring, but to just give blank access to one's health records, to my mind, is totally unacceptable.

You're right, most people don't know what they're signing. We're all bad at reading forms, and that's something most of us miss.

Mrs Pupatello: Had you heard about the concept of a lockbox, which has been advanced prior before this bill was tabled?

Ms Kaegi: Yes.

Mrs Pupatello: That might be something, at least in this area of concern, where you would include in your lockbox information that you felt shouldn't be passed on regardless, but information related to public safety as to your employment might be something that you wouldn't put in a lockbox. Do you follow the concept of a lockbox?

Ms Kaegi: Yes, I do, and that's why I talked about the possibility of excluding access to some records. Yes, I do believe that's a very important idea and I think it's one well worth following.

Ms Lankin: I appreciate your presentation. I appreciate your drawing the committee's attention to section 2(4)(vi), the inclusion of retirement home as a health information custodian. I found that an interesting inclusion in the act. In a sense, it is an explicit acknowledgement of the fact that there are many such retirement homes out there that are in fact collecting and using personal health information because essentially they are providing care to individuals. There are a range of retirement homes out there. Before my mom's Alzheimer's and Parkinson's proceeded to a point where she could no longer live independently, she was living in an independent seniors' building which was part of the retirement complex. There was a doctor who had an office who came in once a week, so she had access to a doctor who had a nurse in that office, but other than light housekeeping services she applied for there was nothing in the sense of a care facility there. Yet there are retirement homes we know, which Mrs McLeod and myself have been arguing, should in fact have standards of care. They should be regulated because they are proxy nursing homes for the aged. It's interesting that it almost acknowledges that in this legislation, yet in other places we're denied the opportunity to talk about regulating those homes.

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You've asked for clarity in definition and I would agree, but do you see that there are some private non-regulated facilities or practices-I don't even know what to call them-residences out there that fall outside of all of the regulation of nursing homes, charitable homes, long-term care facilities, but which in fact do collect and have private health information and should be regulated with respect to the protection of private health information?

Ms Kaegi: Yes I do, and if I may say, I made deputations to the Liberal government calling for regulation of those kinds of homes. I made deputations to your government-

Ms Lankin: Through all of the Lightman reports.

Ms Kaegi: -asking for the regulation of those types of homes. We're saying yes, but until they're clearly defined, until the range of services is prescribed in some regulatory way, we're very uncomfortable. This is far too loose. Yes, we want regulation of retirement homes, we desperately want it, but this we feel is far too loose a phrase. If you mean by this a care home-and I believe there is some definition around "care home"-then put that in the legislation. But yes, we would love to have clear regulation of retirement homes in the broadest context.

Ms Lankin: In fact, through the Lightman report and all of that, there was, as you know, an attempt to regulate the landlord-tenant provision, but the whole issue of standards of care remains outside of that. While I think you're right that there is a loose definition of "care home" for purposes of this legislation, do you see a way of importing that? I don't know if there's an actual legal definition that would define which group we're talking about.

Ms Kaegi: We raised it because it was clearly a concern to us and has been a concern for well over 10 years, certainly in terms of government policy.

I would like to go back and reconsider, and if I could send a note back to the committee I would be more than willing to do it and consult our group. We just hit the term and thought, "Whoa, we have a problem here." That's why we suggested the term "care home," but I would be more than happy if I could have an opportunity to go back and just submit a document to the committee giving our collective response to that question.

Ms Lankin: That would be very helpful.

The Chair: Thank you, Ms Lankin.

Ms Kaegi, you might wish to check the Tenant Protection Act.

Ms Kaegi: I have.

The Chair: There are definitions that you'll find certainly cover "care home" there.

Thank you very much for taking the time to come before us here today.

Ms Kaegi: Thank you very much.

IMS HEALTH CANADA

The Chair: Our next presentation will be from IMS Health Canada. Good morning and welcome to the committee.

Dr Roger Korman: Thank you.

Ms Anita Fineberg: Thank you.

Dr Korman: Mr Chair and members of the committee, my name is Roger Korman. I am president of IMS Health Canada. I'm joined by our chief privacy officer and corporate counsel, Anita Fineberg. I welcome the opportunity to appear before you to make submissions on Bill 159. You should have a package of materials that includes my presentation as well as a response to the Ministry of Health and Long-Term Care's consultation paper on the health sector privacy rules.

We support the goals of the Ontario government to pass personal health information legislation in the province. We recognize that some amendments may be required; however, we believe it is critical that the province introduce its own legislation dealing specifically with health information moving between the private, commercial and public sectors. Such legislation is able to address the specific issues related to the privacy of personal health information and promote an integrated, efficient and accountable health system in Ontario. It will avoid what we believe to be the unworkable and uncertain application of the federal Bill C-6 to the health sector, a bill that did not have in mind provincial health care concerns and the special problems of the provincial health care system.

I will briefly provide you with some information about IMS Health, how it's a private sector company-we manage privacy issues-and our experience with the legislative process on Bill C-6. I will then speak to two specific issues: the definition of "personal health information" in Bill 159 and the use of de-identified data.

IMS is the world's largest health research company, operating in more than 90 countries. It is recognized as a leader and essential partner in the advancement of health. It serves the government, including Health Canada, the Patented Medicine Prices Review Board, the Canadian Coordinating Office for Health Technology Assessment, the governments of Quebec and Ontario, as well as health researchers and the pharmaceutical and biotechnology industries.

IMS employs the highest standards in data collection, processing and statistical analysis in collecting data from over 65,000 sources in Canada, including hospitals, pharmacies, pharmaceutical manufacturers, wholesalers and physicians. More than 200 million records are processed each year to yield extensive information databases of diagnosis and disease treatment, including prescribing patterns and pharmaceutical utilization trends.

IMS collects no identifiable patient information. We require that patient data be de-identified prior to being sent to us. We further screen records prior to acceptance to ensure they are de-identified. In addition, we tightly control access to data and restrict its use to those employees who require it as part of their employment responsibilities. Our information practices are routinely subject to independent audit, and we enter into confidentiality agreements with our data suppliers, employees and clients.

As a leader in adopting measures to ensure appropriate and responsible use of provider information, we developed a privacy code based on the principles in the Canadian Standards Association's Model Code for the Protection of Personal Information, known as the CSA code. The Quality Management Institute, QMI, a division of CSA International, has reviewed the IMS privacy code. The practice of IMS Health with respect to the management of information respecting health professionals has been, and continues to be, audited by the QMI. In September 1999, IMS became the first company in Canada to achieve registration based on CSA's privacy standard. In addition, we retain Coopers and Lybrand to conduct regular independent audits on our data collection procedures, specifically to ensure that we are not provided with any patient-identifiable data. In more than 40 years, we have never had a single breach of patient confidentiality.

We were among the first companies to make representation to the Quebec Privacy Commission following the passage of Bill 68 in 1994 and have been authorized to continue our business practices under this law. As you have heard, the Quebec legislation will probably be deemed to be substantially similar to Bill C-6. In addition, we have voluntarily created a health information advisory board in Quebec, made up of pharmacists and physicians, to provide guidance concerning our use of health information.

In November 1999, I appeared before the Senate standing committee on social affairs, science and technology to present evidence on the problems Bill C-6 would create for health research and generally why Bill C-6 is an unworkable model for health sector activities. I identified two significant problems with Bill C-6 and the negative effects it would have on health research. While Bill C-6 recognizes the value of research by granting an exception from the requirement to obtain consent for the use and disclosure of personal information, there is no corresponding exemption for the collection of such information. In addition, the definition of "personal information" in Bill C-6 is unclear.

These are two reasons why we believe it is necessary to address personal health information in specific provincial privacy legislation and why I am appearing before this committee today. IMS policies and audited practices speak for themselves in confirming that we support the highest levels of privacy protection for identifiable personal health information. However, we also recognize that in certain circumstances particular to the health sector, privacy must be balanced with important societal goals such as health research and system accountability.

We also believe the same rules should apply to the use of health information held by the private sector as that held by the public sector. The Bill C-6 distinction between commercial and non-commercial activities is simply not workable and fails to recognize the current realities of the health sector, where it is estimated that private sector health care spending represented 29% of total health care expenditures in the year 2000.

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That is why we support the efforts of the Ontario government in introducing Bill 159 to provide for consistent rules among those health information custodians who operate in the private and public sectors. As does Commissioner Cavoukian, we believe the bill may not be perfect, but we urge the Ontario government to proceed. The federal government recognized there were problems with the application of Bill C-6 to the health sector and provided a deferral of the application of the legislation to health information. Therefore, the federal legislation dealing with personal information generally should not be used as a measuring stick for the Ontario initiative specifically addressing personal health information.

With respect to the definition of "personal health information" in Bill 159, we support Commissioner Cavoukian's proposed amendment to that part of the definition of "personal health information" to clarify that information must both relate to an identifiable individual, as set out in paragraph (a) of the definition, as well as meet the criteria set out in paragraph (b) of the definition in order to satisfy the definition of "personal health information." This clarification is particularly important to ensure that paragraph (b)(viii) is not construed to afford privacy protection to provider information that is linked to any health information, as opposed to identifiable health information.

We further support the provincial commissioner's view that information about the employment and business practices, activities and transactions of individual health services providers should not be included in the definition of "personal health information"; that such information should be considered professional in nature, rather than personal health information. We also agree with the commissioner that such information may be used to objectively assess the quality of provider services. Examples of the use of IMS data for these purposes are included in our information packages.

With respect to de-identified data, we believe it is not appropriate to place limitations on the collection, use and disclosure of information that has been de-identified or anonymized. We agree that such information should not be re-engineered to re-identify the individual, nor should it be published in a manner that could be used to identify the individual. However, we believe that the definition of "personal health information" set out in Bill 159 already addresses these issues. If there is a concern that the information "can be used or manipulated by a reasonably foreseeable method to identify the individual, or" can be "linked or matched ... to other information that identifies the individual," then it falls within the definition of "personal health information" and is subject to the provisions of Bill 159.

The ability to use de-identified data for many health sector purposes will encourage the use of privacy-enhancing technologies to encrypt personal health information and remove identifiers. Accordingly, we support the ministry's position and the current exclusion of anonymous or de-identified information as found in clause 7(c) of Bill 159.

The courts have not recognized privacy rights in de-identified information. In the case of Source Informatics Ltd, the United Kingdom Supreme Court of Judicature, Court of Appeal, found that the concern of the law is to protect an individual's personal privacy. If an individual could not be identified from the information at issue, then disclosure of such information could not violate that right and the individual's privacy was not at risk. A copy of the case is in your information packages.

In summary, as a private sector company that has been referred to as a model of privacy compliance, we fully support the goals of the Ontario government to pass personal health information legislation in the province. We recognize that some amendments may be required. Nevertheless, we believe it is critical that the province introduce its own legislation dealing specifically with health information whether that information is shared as part of a commercial or non-commercial activity. Such legislation will be able to address the unique issues related to health information and promote an integrated, efficient and accountable health system in Ontario. We believe these goals cannot be achieved under the operation of Bill C-6.

Thank you very much for allowing me the opportunity to make this submission.

The Chair: Thank you very much. That affords us about two and a half minutes per caucus for questioning. This time we'll commence with Mrs McLeod.

Mrs McLeod: You've obviously been following the hearings very closely and you're responding, as well as to what's in the bill, to Ms Cavoukian's recommendations for amendments. The fact that you didn't address the amendment that she proposes to put a lockbox on identifiable information I'm assuming means that doesn't create problems for you as long as the definition of personal health information is clearly identifiable information, that having a lockbox on that would not interfere with your research?

Dr Korman: That's correct, insofar as we do not deal with any identifying personal health information.

Mrs McLeod: Right. Is there any danger in having a lockbox that it could limit access to anonymous information? You have the health information you need de-identified. Would a lockbox prevent you from getting that de-identified information and therefore skew the kinds of samples that you're getting for your research purposes?

Ms Fineberg: No, it would have no effect on our data and our research whatsoever.

Mrs McLeod: OK. That's good to know. On page 7, if I've got the right one, you talk about the fact that you have to have consistent rules for the private sector and the public sector. In what way do you see Bill 159 providing that consistency? It's clear that it addresses the public sector, but how do you see it providing consistent rules in the private sector?

Ms Fineberg: For example, in Bill 159, as I understand it, laboratories are health information custodians. There are many private laboratories in the province of Ontario, as there are many private pharmacies, for example, which are also included as health information custodians. So by that inclusion in 159, the Ontario legislation captures that part of the commercial private sector health care system as well as the public part; for example, the Ministry of Health is a custodian. So what you have in 159 is consistent rules with respect to the information that goes between the private and the public parts of the health system.

Mrs McLeod: And the health care professional working in a private setting is a health information custodian.

Ms Fineberg: Correct.

Mrs McLeod: We've had concerns expressed to us that this bill would proceed without the companion piece dealing with commercial activities in Ontario more broadly. Are there aspects of operation in the commercial private sector that aren't caught by Bill 159, by those definitions, that need to be addressed in companion legislation, if not in this bill? We've had the issue of employers, insurance companies-

Ms Fineberg: That's correct. Those aren't issues for us with respect to our information and our operations, but, having sat here for a few days, obviously the entire scope of entities out there that could possibly have health information isn't covered. But that's for others to speak to.

Mrs McLeod: Your biggest concern-am I out?

The Chair: Yes, thank you. Ms Lankin.

Ms Lankin: Your presentation is very clear, and I appreciate that in the circumstance of your company you're dealing with de-identified information so issues of consent are not really of concern or a matter to you.

But, Ms Fineberg, perhaps I can ask you this, because you've been sitting monitoring the presentations so far and you've heard the presentations from ICES and CIHI and Canadian health information research and I think you would appreciate that the committee has received some conflicting information. Some have said straight out that for the research that their organizations do and for any systems management research they could envision, de-identified information is fine. Others, for purposes of epidemiological longitudinal studies, have indicated the need to be able to match to other databases.

Similarly this morning, the presentation from the Cardiac Care Network-fantastic success story; very clear, though, that identifiable information to track the individual, in most cases with consent but not always with consent, exists in the province.

Do you, as a research entity, have any comments on that broader issue of the societal good, and can that research by and large be done with consent or are there times when identifiable information should be provided for research purposes with all of the ethics, protections, because the research is just needed?

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Dr Korman: If I may, I think you have your hands around the entirety of the conundrum.

Ms Lankin: Yes. I want you to give me the answer, though.

Dr Korman: Perhaps one way to parse the issue is between collection versus disclosure. I appreciate the need to create longitudinal databases and to be able to study health issues over time, because the issues that we are simply not able to deal with and those with the greatest consequences for the system are chronic care issues, for which you do need longitudinal information. It's one of the reasons why the technology needs to advance with respect to encrypting information. If information can be encrypted and then bridged or matched, it would enable information to be anonymized and then made available for research studies.

Having said that, while I can foresee instances where identified information has to be collected, there's no foreseeable case where it has to be disclosed. So that's another way perhaps to think of separating the problem.

Ms Fineberg: If I might-

The Chair: Sorry. We're cutting into Mr Wood's time. Mr Wood.

Mr Wood: Did I correctly infer from what you said earlier that you think it would be a bad idea to have two privacy regimes for health care in Ontario? I thought I drew that from what you said. We could, after all, pass an act that's not substantially similar to the federal act, which gives us two privacy regimes. I took it that you thought that would be a bad idea. Did I take that rightly or wrongly?

Ms Fineberg: That's correct, because then what would happen is, as of January 1, 2004, depending on what kind of recognition was given to the Ontario legislation, Bill C-6 would apply to the commercial activities of the health sector in Ontario.

Mr Wood: One option we have before us, among many, is to base our act on the federal act and put in health care provisions. Would you have an objection in principle to doing that?

Ms Fineberg: The difficulty, as I understand it at the moment, is that, as we spoke to, there is a deferral of Bill C-6, the application to health information, until January 1, 2002. At the moment, therefore, there are no rules in Bill C-6 that apply to health information. In addition, even though Bill C-6 speaks to substantially similar legislation, you've also heard that there are no criteria in Bill C-6 to set out what that's all about, and there's no process.

Industry Canada is currently developing a white paper that will set out both the criteria for substantial similarity and the process by which that will be determined, so that the matter gets to the Governor-in-Council, who ultimately decides on what "substantially similar" legislation is. So at the moment there are many uncertainties with respect to what is, what may be, what could be substantially similar legislation.

Mr Wood: What I'm inviting you to comment on is, if we took the federal act as a model and put in, consistent with the federal act, various provisions to deal with health care, do you think that's a valid approach or not a valid approach?

Ms Fineberg: Maybe when the federal act does have rules for health information, because at the moment it doesn't. So we need to know, in my opinion, two things before we start comparing line for line, for example, Bill 159 to the federal Bill C-6. We need to know what the federal Bill C-6 rules will be for health information-that's number one-and, number two, we need to know what the criteria for substantial similarity will be. Then I think we can look at the Ontario legislation and perhaps do a more detailed comparison, to answer your question.

The Chair: Sorry, Mr Wood. I'm afraid we're over our time.

Thank you very much for coming before us and making your presentation today.

ARCH

The Chair: Our next presentation will be from ARCH: A Legal Resource Centre for Persons with Disabilities. Good morning and welcome to the committee. Please proceed.

Ms Lana Kerzner: My name is Lana Kerzner. I'm a lawyer with ARCH, a legal resource centre for persons with disabilities. ARCH is a legal aid clinic serving the community of persons with disabilities throughout Ontario. ARCH represents individuals with disabilities in test-case litigation, provides summary legal advice and also engages in law reform and public legal education activities. ARCH is one of a number of legal aid clinics serving low-income communities in Ontario.

I'm going to begin by providing a typical example of how health privacy legislation affects persons with disabilities. The example is based on typical calls we receive at ARCH on a daily basis. It will illustrate the far-reaching effects that personal health information has on persons with disabilities.

Joan has multiple sclerosis. She is able to work, but due to muscle stiffness and fatigue she requires accommodations by her employer. She must ask her employer to accommodate her at work and, in order to receive the accommodations she needs, her employer asks that she provide personal health information. She does so, does obtain the accommodations and is able to continue working for a while until her condition progresses and deteriorates further. She is now no longer able to work.

She now has no income and no job and needs to apply for long-term disability insurance through her employer to provide income support. In order to fill out the application for long-term disability insurance, once again she's asked for her health records. She attempts to access her health records but is unable to access the health records she needs to prove eligibility. The insurance company denies her long-term disability insurance. She is still not working and has no income.

She next attempts to apply for the Ontario disability support program, provincial government disability payments. In order to fill out the application, once again she is asked to provide very detailed personal health information regarding her condition. She provides this information and successfully receives Ontario disability support program payments and now has some income support.

Unfortunately, her condition continues to deteriorate. She now uses a wheelchair and is no longer able to use the regular public transit system she's been using. She now needs to apply for accessible transit within her community and has to fill out yet another application. The application once again asks for very detailed personal health information regarding her condition. She accesses this health information and does in fact receive the publicly accessible transportation she's applied for.

I'm not going to continue to tell Joan's story because I believe I have told enough to illustrate the following points: in order to work, obtain minimal income support, use public transportation and generally participate in all aspects of society, she has needed to obtain extensive access to her health records. Further, she has needed to divulge her medical records to a wide variety of people. At a minimum, at least all of the people to whom she has disclosed information know highly sensitive and personal information about her health status. What she doesn't know is whom else these people might have disclosed her personal health information to.

In order to participate fully in Canadian society, it is of utmost importance to Joan and to the entire community of persons with disabilities that there be a law in place which, first, ensures they have access to their health records and, second, ensures they have control over who has access to their records and that their records, with very few exceptions, are not disclosed without their consent.

In general, ARCH strongly supports the need then for a comprehensive legal framework to protect personal health information. However, ARCH does not support Bill 159 as it is currently worded. ARCH is concerned about the bill's narrow scope and multitude of exceptions. ARCH's recommendations focus on strengthening and broadening privacy protections and ensuring that the legislation is sensitive to the concerns and accessible to the community of persons with disabilities. Our submission focuses solely on those issues that are of relevance to persons with disabilities. The fact that our submission does not comment on other aspects of Bill 159 should not be taken to mean that ARCH is supportive of them. In my oral comments I will not review all of the recommendations that are covered in our written submission.

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Our first recommendation relates to the definition of "health information custodian." ARCH believes that the definition of "health information custodian" is too narrow and recommends that it be broadened in two ways.

Firstly, with respect to the Ontario disability support program I mentioned a minute ago, the Ontario disability support program is a form of provincial disability income support. Individuals who apply for and are in receipt of ODSP, as we frequently call it, must divulge large amounts of their personal health information for this purpose. Curiously, only a limited aspect of the ODSP program, namely employment support, is covered under the definition of "health information custodian." The concern is that the bill provides very limited coverage for health records held by the Ministry of Community and Social Services in the context of ODSP. The way Bill 159 reads, an individual who is in need of social assistance, by virtue of that need, must forfeit their right to privacy.

ARCH recommends the Ministry of Community and Social Services, in connection with the administration of the Ontario disability support program, be added to the definition of "health information custodian."

ARCH has a second recommendation relating to the definition of "health information custodian," and this relates to residential premises in which persons with disabilities live and where care is provided. There is a broad range of residential premises in which persons with disabilities live and where they also receive care services. In general, Bill 159's definition of "health information custodian" does not cover many of these premises. These premises accumulate large amounts of health information about their residents. Some of the residences in which persons with disabilities receive care are called care homes, and this term is defined in the Tenant Protection Act. Retirement homes fall within the definition of "care home" and retirement homes for elderly persons is a category of health information custodian in the bill.

We recommend that the problem could partly be solved by replacing the category of "retirement home for elderly persons," which is found in Bill 159 and which has no meaning in law, with "care home," which is defined in section 1(1) of the Tenant Protection Act. This is only a partial solution to the problem, so we further recommend that the definition of "health information custodian" be extended to cover all living accommodations in which persons with disabilities reside and receive care.

I started off by emphasizing the significant impact that personal health information has on all aspects of the lives of persons with disabilities.

ARCH recommends that the communities most affected by the proposed legislation must be involved in its administration and enforcement. ARCH makes two recommendations on those lines.

Firstly, ARCH recommends that the assistant commissioner for personal health information envisioned by the bill be required by the legislation to be a member of, or have proven experience in and knowledge of, the communities most affected by the legislation, including the community of persons with disabilities. Additionally, ARCH recommends that a sufficient number of persons to whom this assistant commissioner may delegate his or her duties be required by the legislation to meet these same criteria.

ARCH has similar concerns regarding the research ethics review body. Bill 159 does not specify who will comprise the research ethics review body or how this determination will be made. ARCH similarly recommends that the legislation require that this body be comprised of individuals who have a direct interest in and knowledge of issues relating to health research, including persons with disabilities, and those with an interest in patients' rights.

The issue of genetic testing is not covered specifically in the bill at all. Information from genetic testing, though, regarding one individual provides information about that individual's blood relatives. None of us has complete control over health information regarding ourselves, as it may result from test results conducted on one of our blood relatives. In addition, because genetic test results can indicate a predisposition to becoming disabled in the future, discrimination has been shown to occur on the basis of this information. ARCH therefore recommends that the legislation contain specific provisions devoted to the concerns created by genetic testing. We recognize this could be an area of great sensitivity and recommend that wide consultation be held regarding this issue and that the consultation must take into account the perspectives of those directly affected.

The final recommendations I'm going to make this morning relate to fees. ARCH is concerned that Bill 159 contains requirements that fees be paid both for individuals who want to access their records and for individuals who wish to make a complaint to the commissioner. Compared to the general population, a large portion of the community of persons with disabilities have very low incomes. We often receive calls from people who desperately require copies of their medical records but for whom the fees charged are prohibitive.

Bill 159 leaves details regarding the fees for access to records to be set out in the regulations. ARCH recommends that the legislation specify that the fees must not exceed the cost incurred by the health information custodian to provide access. Bill 159 does allow for a waiver of the fee, but the waiver does not sufficiently protect for low-income individuals. ARCH recommends that a waiver of the fee should be mandatory when an individual is in receipt of social assistance benefits or is otherwise in financial need.

Bill 159 also requires that a fee be paid in order to make a complaint to the commissioner. This means that the privacy rights enshrined in the legislation are only available to those who can afford to pay for them. When a remedy demands a fee that an individual cannot afford to pay because the remedy is not accessible, the right no longer exists. ARCH recommends that the bill be amended to eliminate any requirement to pay a fee for the right to launch a complaint to the commissioner.

In conclusion, ARCH wishes to express its appreciation for this opportunity to present the concerns of the community of persons with disabilities to the committee and we hope our submissions have been of assistance.

The Chair: Thank you very much. That leaves us about three minutes for questioning, so we'll give it to the next party in rotation.

Ms Lankin: You've raised an issue which a couple of presentations have touched on but not gone into in any depth, and that's the concern around genetic testing. I recognize you're recommending a broader consultation, but can you tell us a bit about what ARCH has in mind, what kinds of provisions you think are necessary and in what way would they differ from regular provisions if we agree the intent of this is to have stringent protections?

Ms Kerzner: We're not making recommendations at this point for specific sections or for a way that the legislation could specifically be drafted. At this point we're just raising the concern that we believe it needs to be thought about carefully and treated differently, because it's one discrete area where people do not have control over health information regarding themselves. The concern is that a family member's genetic information will be divulged without their blood relatives knowing, and therefore their privacy rights will be infringed. We haven't gone further into suggesting how this could be fashioned, but just to emphasize the importance of consultation.

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Ms Lankin: You're also recommending that supportive housing and other such residences where care is provided be included under the legislation. I appreciate your recommendation around replacing "retirement home" with "care home." Is there an identifiable definition we can look to to encompass all of these other supportive housing programs?

Ms Kerzner: That's difficult because there's a whole host of different residences in which people with disabilities reside and receive care.

Ms Lankin: I'm aware of that.

Ms Kerzner: Often they're informal, and often they are not necessarily covered by any specific piece of legislation. It's not an easy solution like saying "care home," which has an obvious definition in the Tenant Protection Act.

Ms Lankin: What would you recommend we do, then?

Ms Kerzner: I don't know that I'm in a position right now to do more than provide information about the kinds of residences that exist; and for the committee to look at that on a broad scale and be sure the wording in the legislation covers them broadly.

Ms Lankin: I have one last question. I also was concerned to see provisions of Ontario Works and the Ontario disability support program exempted where there's a conflict with this legislation. In particular, I'm thinking under ODSP where it's not a doctor who determines eligibility of disability based on medical information, it's someone within the ministry structure-a public service worker-who makes that determination. They have to have access to an incredible amount of sensitive personal health information. They're governed of course under freedom of information and protection of privacy legislation. Do you see that protection being sufficient for the protection of this private health information, or do you see a superior protection in Bill 159 that should override and govern those individuals?

Ms Kerzner: We believe that because it relates to personal health information, and the proposed legislation is specifically geared to the concerns about health information rather than other information that is collected by the government, which is of a very different nature and quality, because this proposed legislation specifically deals with health information, we believe it's important that it would be this legislation that would cover the information held by the ministry. We have a concern that the bill, as it stands, only covers one portion of the ODSP, which is employment supports. We don't understand why the distinction is made and believe that all of those programs should be brought in.

Ms Lankin: Terrific. Thank you very much.

Ms Kerzner: You're welcome.

The Chair: Thank you for appearing before us here this morning. We appreciate it.

POLICE ASSOCIATION OF ONTARIO

The Chair: Our next presentation will be from the Police Association of Ontario. Good morning and welcome to the committee.

Mr Bruce Miller: Good morning. I'd like to start by thanking the Chair and the members of the committee for the opportunity to be here today. My name is Bruce Miller. I'm the administrator of the Police Association of Ontario. I was a 22-year veteran of the London Police Service prior to becoming administrator. I've worked in uniform patrol, vice, break and enter and the major crime squads. Appearing with me is Constable Isobel Anderson. Isobel emigrated from Rhodesia, which is now Zimbabwe, where she was a police officer. She joined the Ottawa Police Service in 1994 and has served there ever since. Together, we will try to give you the perspective of front-line police personnel in Ontario on an issue of increasing concern.

We are appearing today on behalf of the 13,000 members of the Police Association of Ontario. Our chair, Terry Ryan, and one of our directors, Brenda Lawson, are here today, as are the president and the vice-president of the Ontario Professional Fire Fighters Association, to lend their support.

The PAO was founded in 1933. The PAO is the official voice and representative body for Ontario's front-line police personnel and provides representation, resource and support for Ontario's 70 municipal police associations. Our membership is comprised of police and civilian members of municipal police forces.

The protection of an individual's health information is extremely important to our members. We respect and endorse the need for protection of this information. However, in certain circumstances the right to privacy has to be balanced with the need to protect other members of society.

I don't think there is any need for me to explain to this committee the escalating incidence of HIV and hepatitis B and C in the population. We are here today to stress the need for emergency workers, victims of crime and good Samaritans to be able to access an individual's health records if there is a risk someone may have been infected. The police officer or the court security special constable who is bitten and then told by the offender he has AIDS should be able to access the offender's health information to be able to make an informed decision on treatment. A sexual assault victim has the same common sense right. A good Samaritan who performs mouth-to-mouth resuscitation on an individual has the right to know whether or not he or she has put his or her own health at risk. We believe this is common sense legislation.

I don't think I need to tell you there are high-risk and high-incidence carriers of these communicable diseases in every region of the province. These high-risk individuals include, but are not limited to, intravenous drug users, prostitutes and many career criminals. For obvious reasons, these identified groups are liable to a higher incidence of interaction with the police. This sets the stage for the increasing amount of needle sticks, deliberate attacks and other exposures that place our members at risk. However, while our members are at increased risk, the rest of society is not immune.

Medical experts tell us that today's post-exposure treatments are based on best guess and trial and error. That is small comfort for emergency workers, victims of crime and good Samaritans who are exposed to free-flowing blood or other bodily fluids. This fact underscores the need for a person, in conjunction with his or her physician, to make decisions based on all possible information. The ability to access the personal health information of the person who may have infected them would allow these people to make properly informed decisions about post-exposure treatment. They need to be properly informed so they can make informed medical decisions.

The so-called drug cocktail that is administered to post-exposure victims brings its own medical risks. We can advise you that persons who have submitted to the treatment report debilitating side effects. Severe headaches, perpetual nausea, total exhaustion, hives and hair loss are just some of the known side effects. These can last for several months, depending on the individual, the combination of drugs taken and the duration over which they are administered.

The Canadian Police Association is tracking one case involving a police officer from a police service in the Maritimes who is gradually losing his eyesight since taking the treatment. The person had no problems with his vision prior to the treatment. The treatment is relatively new. Who knows what other long-term effects there may be from these treatments?

Today's best possible treatment can be best described as overkill for the offending virus. Although we are pleased to have it available, we don't want to take it unless we have to. We need legislation to be entitled to as much information as possible in order to be able to make an informed decision with our physicians as to what, if any, treatment is required.

A number of years ago, I performed CPR on an individual, who unfortunately did not survive. The coroner was concerned that that individual may have had spinal meningitis and ordered an immediate autopsy that confirmed his suspicions. I was called at home late at night and told to attend the local emergency ward to begin treatment, which I did. If the individual had survived, I might not have been privy to the same information.

I will now ask Isobel to speak of her experiences.

Ms Isobel Anderson: Good morning. My name is Isobel Anderson. As Bruce stated, I'm a police constable in Ottawa. I would like to tell you about my experience and why we need to access an individual's medical information in certain circumstances.

In October 1997, I arrested a male for armed robbery. While I was searching him, I reached into one of his pockets and felt a stab of pain in my hand. When I pulled my hand out, I found there was a hypodermic needle impaled in my palm. I immediately went to a local hospital, where my worst fears were confirmed. The doctor there informed me there was a possibility I may have been infected with HIV or hepatitis C. I was advised that if I started treatment with a chemical cocktail which includes AZT within two hours of the exposure that it may eliminate or reduce the risk of me contracting HIV.

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The suspect initially refused to be tested. He later agreed, much later, hours later. I will only say it's fortunate for me that he was hungry, because he made a deal with the officers in the cellblock that if they bought him a Big Mac meal from McDonald's, he would agree to a test. He tested positive for hepatitis C but negative for HIV.

I took the AZT and the other drugs for three days until my initial HIV test came back negative. After consulting with my physician I decided to discontinue the treatment. The side effects from the treatment were horrendous and included hives, hair loss and chronic pain. I had to wait six months for the final HIV test, as there is a lengthy incubation period.

I was fortunate in that I did not contract any diseases. However, the toll was enormous. I had to be concerned about the possibility of infecting family members as well as my co-workers. At the time, I was married with three children. The prolonged side effects and uncertainty affected my home life. I had been having marital problems prior to this incident, but this turned out to be the final straw. My husband and I separated soon after that.

My personal experience has led me to become involved in some of the issues surrounding how to protect emergency workers, good Samaritans and victims of crime. I have campaigned together with Chuck Stahl, member of Parliament, for the introduction of Bill C-244, the Blood Samples Act. This proposed legislation was put on hold by the calling of the federal election last fall. It has recently been reintroduced as Bill C-217. The proposed legislation would allow for the mandatory testing of individuals who may have accidentally or intentionally exposed another person to their bodily fluids. Certainly the introduction of this legislation would be extremely positive. However, testing can take time and false results are possible.

This is all about victims-and I was a victim-being able to make informed decisions based on all the available information. It would have been of great assistance to me that night.

Mandatory testing is one needed component, while the ability to access medical information is the other.

I will now ask Bruce to conclude our presentation.

Mr Miller: First of all, we'd like to take this opportunity to thank all members of government for the law-and-order initiatives that have been either proposed or legislated. We appreciate all of your continued commitment to community safety. However, this is another area where we are asking for your assistance. We are appearing before you today with what we feel is a request for common sense legislation. We believe section 33(a) of the proposed act can be used to access this information but needs to be clarified to include all the situations we've discussed.

We have countless examples of deliberate attacks on police personnel by people with HIV and other diseases. Rubber gloves and universal precautions only reduce the risk. We have had members spat upon, deliberately bitten and exposed to free-flowing blood and other bodily fluids by an attacker. Lax federal laws and inadequate legislation only serve to increase these incidents.

We are seeking your assistance not only to protect our members but all emergency workers, victims of crime and good Samaritans. They need your support. We don't doubt there may be unfounded concerns raised by civil libertarians. This is not an attempt to gather further evidence. This is not an attack on an individual's rights. This is common sense legislation designed to help protect victims and their families, because, at the end of the day, anyone involved in a situation like this is a victim.

In closing, I'd like to take this opportunity to thank the committee for allowing us to appear here today. We'd be prepared to answer any questions that you may have.

The Chair: Thank you very much. That affords us about two and a half minutes per caucus.

Mr Wood: If we were to prepare legislation along the lines of what you've suggested, would you have a problem if the information were available only through judicial process; in other words, through, in effect, a search warrant?

Mr Miller: My only concern with judicial process, Mr Wood, would be the time element. The treatment has to begin within approximately two hours after a person has been affected. So we have to have the ability to get a speedy search warrant. That would be the only stumbling block to that.

Mr Wood: Would you have any problem with restrictions on the use of the information solely for the treatment of the person involved in the incident?

Mr Miller: None at all. Our objective is to protect emergency workers, good Samaritans and victims of crime. We're not looking for any other avenues.

Mr Wood: Would you have any problem with restrictions on disclosure of the information to any third party? If it was disclosed to the caregiver and the person involved in the incident, would you have a problem on restrictions about disclosure to anybody else?

Mr Miller: Certainly I don't see the need for any disclosure to anybody else. We're just trying to protect these groups and the individual's rights as well.

Mr Wood: Those are my questions.

Mrs McLeod: I think Mr Wood's last question was getting around the fact that the recipient of the information about that other individual's health record is not bound by anything that's in Bill 159 currently. So the issue of how do you then protect the subsequent disclosure of that health information is a really difficult issue for us to deal with.

You mentioned clause 33(a) of Bill 159, which does allow for the disclosure of personal health information where there is a risk. In the situations that you've described, particularly an assault on a police officer, perhaps a sexual assault where the person who is alleged to have made the assault can be identified, do you think that the health care custodian would consider that evidence of risk and that that would be justification under 33(a) to provide the information or to recommend a treatment to the individual who was assaulted?

Mr Miller: I would hope the health custodian would. That's where proper training, in my opinion, needs to come in for the health custodians, to explain that this venue was possible for these affected groups. If there isn't some procedure or process explaining it written out, certainly the health custodian may well be reluctant to give that information.

Mrs McLeod: You mention as well the good Samaritan and you reference giving of CPR. That inclusion could broaden the application of 33(a), if you specified that, basically anybody who gives CPR to somebody. That would really broaden the access to personal health records significantly. Would you agree? Do you think it needs to be that broad in interpretation?

Mr Miller: Certainly it would broaden it, but we have citizens out in Ontario who actually risk their lives to save individuals. They're stopping to help out at serious accidents. They're going far beyond the call of what everybody expects from an everyday citizen and they need to be protected. They're doing these actions; we should be supporting them.

Ms Lankin: Could you tell me how you would like us to describe these circumstances in the legislation? Is it that anyone who is exposed to anybody else's bodily fluids would have access to health information?

Mr Miller: Certainly we'd have to sit down and draft language to come up with that. We're just speaking to the general intent.

Ms Lankin: But who do you envision? You just mentioned anyone who gives CPR, I guess like a lifeguard who pulls a child out of the pool, for example, someone on the side of the street, perhaps someone who is a victim of an assault by another-not a police officer who is a victim of an assault but an assault victim, whether the assaulter is a known criminal or the assaulter is someone in a position of authority. It can happen. Recently there was an alleged circumstance in one of our correctional facilities that an individual was beaten by authority figures. Would that individual then have the right, if there were scrapes and exposure to bodily fluid, to get access to the records of those individuals?

Mr Miller: Sorry, you lost me on the last one.

Ms Lankin: A prisoner in a jail cell recently alleged that he was beaten by a number of correctional officers. It's alleged. I'm a former correctional officer; I understand some of the things that happen in these institutions. What would the rights of that individual be under what you're proposing? Would that prisoner be able to get access to the personal health records of the correctional officers?

Mr Miller: I don't think we're trying to limit anybody's ability to access it if it's a valid situation. Certainly in the proposed act there are provisions for correctional facilities to have medical records.

Ms Lankin: No, I'm talking about the prisoner getting the guards' records.

Mr Miller: I realize that and I'm saying we're not trying to limit anybody's ability if it's a valid circumstance, but certainly the proposed act does recognize the danger when it allows correctional facilities to access inmates' records. It's certainly a valid concern. You worked in a correctional facility and you know some of the dangers that you and your co-workers were faced with on a daily basis.

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Ms Lankin: I'm just trying to understand. Obviously, I don't think it could be crafted in a way that was geared to just police officers, emergency workers and good Samaritans. It would have to be a provision that's very broad, that wherever there is an exchange of bodily fluids under duress, I guess, that person would then have access to medical information.

Let me ask you the next question. What range of medical information would you be seeking? Anything in the person's history? Anything that's a communicable disease? What are the restrictions in terms of what information you're accessing?

Mr Miller: Obviously I'm not a physician, but the restrictions would be only diseases that could infect one of these affected groups. That's all the medical information we're looking for. Does the person have hepatitis A? Does the person have hepatitis C? Does the person have HIV? And there are several other diseases as well.

Ms Lankin: Meningitis, you mentioned.

Mr Miller: Yes.

Ms Lankin: Once you're the recipient of the information, you said you didn't have a problem with having restrictions on what you can do with it. I'd just ask you to turn your mind to potential workers' compensation insurance claims that you may be making if it's in the course of duty, or a good Samaritan who may choose to look toward a lawsuit or something. That information would not be able to be submitted in those future proceedings, then.

Mr Miller: Our concern is the health welfare of emergency workers, including police officers, firefighters, ambulance attendants, victims of crime, good Samaritans. That's our concern. We're not looking to gather any other information, and certainly legislation could be put in place to prevent the dissemination of that information.

The Chair: Thank you for coming before us this morning. We appreciate it.

ONTARIO DENTAL HYGIENISTS' ASSOCIATION

The Chair: Our next presentation will be from the Ontario Dental Hygienists' Association. Good morning and welcome to the committee.

Ms Pat Spencer: Good morning. My name is Pat Spencer. I am a practising dental hygienist and the current president of the Ontario Dental Hygienists' Association, the ODHA. With me today is Linda Crawford, our executive director.

As you may be aware, the ODHA is the voluntary professional association representing the vast majority of over 6,000 dental hygienists who are currently registered to practise in Ontario. The ODHA is, I believe, the sixth-largest health care association in Ontario. Dental hygiene is a regulated profession. Since 1993, we've had our own self-governing college, the College of Dental Hygienists of Ontario.

Before commenting on Bill 159, I'd like to express our appreciation for the opportunity to appear before this committee and to put our views on Bill 159 before you and on the public record. Even if this bill dies on the order paper, this review and the dialogue with practitioners is useful in bringing back a better bill.

Access to and exchange of health record information is both critical to and commonplace in the practice of dental hygiene. Dental hygienists are usually the first health care practitioner a client sees in a dental clinic. Dental hygienists usually interview the client to complete the health record as the starting point for dental hygiene assessment and treatment. The health record then forms the basis for any subsequent examination and diagnosis conducted by a dentist.

Why, you might ask, would someone who is removing the plaque on your teeth need to know the health care status of a client? There are many reasons. If you have had a recent joint replacement, the possibility of infection arises due to the bacteria in the mouth that will be released into the bloodstream as the hardened plaque is broken up and removed. If you are a cardiac patient or a diabetic, you may be on a range of medications that contraindicate treatment, or you may require special precautions. We have to know these sorts of things before we begin, and so we take a comprehensive medical history and conduct a comprehensive assessment. We need to know to provide safe, appropriate care. Accurate and up-to-date health information and the protection of confidentiality is as crucial to the dental hygienist-patient relationship as it is to any other health care practitioner-patient relationship.

We believe that proposed legislation such as Bill 159 is an important building block in health reform. It's also demanded by our increasing reliance on electronically stored and transmitted data, the growing multidisciplinary approach to health care delivery, the need for more and better data to assess health outcomes and the cost-effectiveness of alternate health care interventions, and demanded by the growth of privately funded and community-based health care.

Notwithstanding, the ODHA does have reservations about the bill and its implementation. Let's begin by addressing what we think is the fundamental need, and quite frankly, one of the major shortfalls of the bill. We are concerned that this bill emphasizes access to health records over the protection of patient privacy. Because Bill 159 would be paramount over the RHPA, and therefore our own college's regulations, we're afraid this orientation actually turns back the clock in terms of privacy protection.

For example, the definition of "health information custodian" in section 2 is very broad. The definition includes not only health care practitioners and service providers, but also the Minister of Health and Long-Term Care, members of district health councils, Cancer Care Ontario, researchers, program managers and so on. In our view, there's no a priori justification for many of these to have general access to personally identifiable information.

Furthermore, the bill unnecessarily expands the instances in which personal health information may be disclosed without that person's consent. For example, subsection 26(3) permits a health information custodian that is a health care facility or organization to "use or disclose the individual's name and address for the purpose of fundraising activities" without the patient's consent. We object fundamentally to personal health information being released for fundraising activities.

We are also concerned that personally identifiable information could be used and disclosed to the Ministry of Health and Long-Term Care for planning purposes, pursuant to section 27(e); for research purposes, pursuant to section 27(i); or for any third party user. In our view, the legislation should explicitly state that identifying health information will not be disclosed if anonymous information is equally available.

We're concerned that Bill 159 would make our patients under 16 years of age have their personal health information released without consent. I am referring specifically to subsection 46(2)(a). Let me give you an illustration. Whether a person smokes is a piece of vital information for dental hygienists. Teenagers often don't want their parents or guardians to know they smoke. I think a practitioner would be duty bound to tell a patient that the confidentiality of this kind of information cannot be guaranteed. That could affect the patient's candour and the level of trust in the patient-practitioner relationship, thereby detracting from our ability to provide quality and appropriate care.

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We are also concerned about the broad discretionary powers given to the Minister of Health and Long-Term Care to extend access to health information and thereby mute the bill's effectiveness in protecting privacy. For example, section 30 stipulates that the minister may disclose personal health information to anyone the minister designates by regulation. The fact is that the health record is the property of the patient. In our view, the basic, immutable and overarching principle should be that no information should be shared beyond the health care practitioner team without the knowledge and expressed consent of the patient.

Informed consent should be at the heart of any privacy legislation, as it is with any treatment, and as it is with the federal legislation. We like the formulation in the federal legislation, the Personal Information Protection and Electronic Documents Act; namely, information cannot be collected, used or disclosed without consent, and information can only be collected, used or disclosed for the purpose for which consent was given. This bill allows for the collection, use and disclosure of personal health information without consent in a variety of circumstances. For example, clause 22(4)(d) allows the collection of personal health information from a third party without patient consent or even knowledge.

The ODHA recognizes that the requirement to obtain case-by-case informed consent before disclosing historical patient information could be a costly and time-consuming endeavour. The ODHA suggests the creation of a standardized consent form specifically for research use. Patients receiving treatment would be asked to provide consent in advance, thereby eliminating the time and cost involved in contacting individual patients retroactively. The patient should also be provided with the opportunity to decide which information could be divulged. The form would explicitly state that confidentiality would always be protected and a time limit-for example, for research studies over the next five years-would be imposed on disclosure.

Subsection 20(1) requires that a health information custodian be appointed, which appears to be a very good idea on the surface. Dental hygienists already follow stringent health record management policies and procedures defined and enforced by our college, the College of Dental Hygienists of Ontario. That is not an issue here. The issue is that some of our members operate independently or in small offices. Many, like me, are in rural or remote areas. Our margins are the thinnest of the thin. The statutory requirement for the designation of a custodian will add a substantial administrative burden, without any offsetting compensation.

We trust, by the way, that sole practitioners such as myself can designate ourselves as the custodian. If so, the bill should make it explicit. If not, the requirement will simply not be sustainable by our practices.

The ODHA supports the creation of a research ethics review body. We regret, however, that the review body will not be empowered to review requests for personally identifiable information made by other parties, such as the Ministry of Health and Long-Term Care, Cancer Care Ontario and public hospitals. We suggest that the ethics review body waive the need for informed patient consent only if the following criteria are met: (1) the rights and welfare of the patient will not be adversely affected; and (2) the research could not practicably be carried out without the waiver or alteration of the consent requirement.

Part VIII of the bill gives patients the right of access to, and the right to request correction of, their personal health information. This is good. Section 44, however, lists five exemptions, several of which are troublesome. We believe the right of access and requests to correct one's own personal health information are an essential part of privacy protection and should be unrestricted. Therefore, mandatory exclusions should be avoided.

Furthermore, clauses 44(d) and (e) allow some personal health information and information under the custody or control of a class or classes of custodians to be excluded from this part of the bill by regulation. This kind of broad administrative discretion should not be countenanced in this bill. Access to health records and personal privacy should not be subject to the exercise of political discretion.

Electronic collection, storage and transmission of health information increase the risk of unauthorized use of health records. Because of the increasing role of electronic collection, storage, retrieval and transmission of health care data, it is important to be sensitive to both public perceptions and the likelihood that computerized abuses of health records will increase. We therefore suggest that the bill require the electronic storage and transmission of personal health information to be encrypted.

Mr Chairman, that concludes our formal statement. We have also made a detailed written submission to this committee. Thank you for your attention.

The Chair: Thank you very much. That affords us just under two minutes per caucus for questioning. We'll start this time with Mrs McLeod.

Mrs McLeod: Thank you very much. It was a very thorough presentation. I appreciate your drawing a number of the concerns to our attention that we're certainly hearing about the legislation that we think need to be addressed.

One of the issues you've touched on that we haven't heard a lot about is the added administrative responsibilities of being the designated health information custodian. I am assuming, although maybe we do have to clarify it in the legislation, that where you are a solo practitioner you can designate yourself as that health information custodian. Assuming that's the case, could you say a little bit more about the ways in which your practices as that health information custodian would have to change from what they are now and what the costs would therefore be to you?

Ms Spencer: I work in long-term care. At the present time when I treat a patient, I keep a copy, leave a copy with the facility and send a copy to the contact, whether it be the public trustee or the family or friends-whoever is the designated contact. I am then responsible for the disbursement of that information. The cost of ensuring the transportation, the courier to the contact person would be one. It has not been defined whether I would have to set up a whole computerized system if it's going to be electronically stored. Would I have to make arrangements with a central agency? Would I actually have to pay for access to the long-term-care storage? There are so many unanswered questions in that respect.

Mrs McLeod: Is one of your concerns that there could be future requirements, for example, to store records electronically, without there being compensation for what would be obvious costs in setting that up?

Ms Spencer: There may be licensing costs to access any number of centres where the data might be stored. We don't know if it's going to be centrally stored. There was some discussion on trying to decide even who would be holding the electronic information.

Mr Wood: I'd like to take you back to the part of the submission where you spoke about data being made available for research purposes without consent. You've said, in effect, where it can't be done; otherwise, you think that might permitted under basically firm guidelines. That's what I took from your submission. Did I correctly pick up on what you were saying?

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Ms Spencer: We would prefer that where it can be done anonymously it would be done that way, or if it could be disclosed so that you can get consent ahead of time. Am I understanding your question correctly?

Mr Wood: What I thought you were saying is you feel there are some cases where it may be necessary for the purposes of research to make data available without the consent of the person. That's what I thought you were saying.

Ms Spencer: We prefer that it be done with consent but that there would be time limits. The individuals might be more amenable to giving their consent if they knew there was going to be a time stipulation and that they would have input into what information would be released.

Mr Wood: What about the oversight of that? You're familiar of course with the ethics committees that are proposed?

Ms Spencer: Somewhat. I'm not sure; I'm not an authority.

Mr Wood: OK, let me try and make this very simple. There's a proposal for some oversight committees. My question is this: should the oversight committees have the final say or should the final sign-off be someone like, for example, a privacy commissioner? Should there be an identified public official who has final sign-off or do you think it should be the committees themselves that have final sign-off?

Ms Spencer: From my understanding at the present time, as long as there was a review process to protect the information of the patient, whatever form that might take.

Mr Wood: That's really my question. Do you think that the committees themselves should have the final sign-off, or should there be some public official who has the final sign-off on a research project?

Ms Spencer: That's not something that we have actually explored. I would have to do some research and come back to you on that.

Mr Wood: Feel free to send a memo to the committee and a memo to the minister once you've had a chance to think over your thoughts on that. Thanks.

The Chair: Thank you very much for coming before us here today.

Ms Spencer: Thank you.

ASSOCIATION FOR HEALTHCARE PHILANTHROPY CANADA

The Chair: Committee members we have another group which is not in your schedule. Apparently there was some difference of opinion between the clerk's office and the presenters, but it seems we do have some time before noon. It's the Association for Healthcare Philanthropy. Perhaps they can come forward to the witness table, please. Welcome to the committee.

Mr Michael Farrell: Mr Chairman, honourable members, thank you for accommodating us. We very much appreciate that. My name is Michael Farrell, I'm the executive director of the Hamilton Health Sciences Foundation, but I'm the chair of the Association for Healthcare Philanthropy Canada. To introduce the delegation that is with me: I have Leslie Sher from the Greater Niagara General Hospital Foundation, Sally Dobbie from the Trillium Health Centre Foundation, Gina Rosen from Markham-Stouffville Hospital Foundation. To my right, Anne Randall, who is the president of the St Joseph's Health Care Centre Foundation in Toronto, and Carol Chabot from the University Health Network Foundation in Toronto.

We are here, first of all, on behalf of the Association for Healthcare Philanthropy and we bring this delegation, more than anything, so that you'll understand that we're represented province-wide. We have 400 members in Canada-200 in Ontario-and we have members representing the fundraising offices in virtually every major health care facility in the province.

We are here to endorse both the letter and spirit of Bill 159. It recognizes the importance of grateful patients to the health care system, and we are in support of that.

By way of background, you should be aware that in Ontario virtually every health care provider in the province is currently following up with grateful patients and offering them a chance to participate. We do this with utmost sensitivity and with respect of confidentiality. I have attached some documents at the back of this which are the standard of professional behaviour that our organization adheres to, a donor bill of rights, and general guidelines for the type of grateful patient programs that may run across the province, and in fact across North America in this case.

Grateful patient programs offer an opportunity for individuals whose lives and good health have been preserved or enhanced through the use of the health care system to contribute in support of the continued delivery of these services. We have taken great care to respect their privacy.

I want to talk a little bit about health care and philanthropy in Ontario. As you know, we are in the midst of probably the most significant reinvention, if you like, or restructuring of health care in recent history. You also know that 30% to 50% of the capital project costs are costs that rest with communities and with hospitals. Much of the work being done to generate that sort of revenue is being done by the hospital foundations and the fundraising offices across the province. In a study done in the greater Toronto area in the year 2000, they identified in the next five years some campaign totals in excess of $1.6 billion. We would expect that sort of number would be double across the province. I can't nail that down exactly, but certainly it would be that order of magnitude.

Philanthropy's influence on the health care system goes way beyond the bricks and mortar. I think the importance piece to understand is that philanthropy now has found its way. Whether its partnerships with the faculties of health sciences at the various universities where we have fellowships or shares in some of the smaller community hospitals and in community hospitals across the province, we're seeing much of the innovation in the health care system. This is the result of philanthropy and people in the community who want to participate in their health care system and have done that and have shown that sort of leadership.

There's an old saying in fundraising that goes something to the effect of, "Even if you don't need the money, you ought to do this for the dialogue," and the communications that come out of development offices, whether they be part of the hospital or part of the foundation, put the best foot forward for our health care system, explain the health care system and explain opportunities to these individuals. Quite frankly, this may be the time they listen most to us: to explain the health care system, how they can participate, their importance.

I think that when we come to the very core of the matter-our two surveys that have been done, one in Hamilton was done at the hospital that I was in prior to merger and was repeated again at the North York General-the point here is that 80% to 82% of the individuals who are donors identify themselves as either grateful patients or immediate family of grateful patients. I think that statistic, in and of itself, is significant and that our ability to communicate with former patients of the health care system is absolutely critical. It's one of the linchpins of the work that we do in the community.

Now we get to the whole issue of notification. We're addressing section 26(3), "Exception re fundraising," and it's (2) where the act tries to define what notification is. First and foremost, we agree completely with the concept of notification; in fact, it may come as a shock to you that we don't want to contact people who don't want to hear from us either. It's expensive. We would rather not send letters or contact in any way the folks who don't want to hear from us. Being aware of this, we have wrestled with this for several years: how will we do it?

The ethical dilemma that comes forward is that some of our hospitals even considered trying to have people sign off on their own at the hospital just because it would avoid that mailing to someone who may not want to hear from us. It creates a very serious ethical problem. For anyone entering our health care system who is ill or sick or somehow has their decision-making weakened, it is an inappropriate time to ask them to make a decision about participating in any way with the hospital. It's just not appropriate.

The concept of trying to do so at discharge is difficult, because in hospitals you discharge from all over the place. You discharge at different points all through the hospital. It's not that easy a piece to deal with. Then there's the issue of outpatients, as well, that is challenging.

All these things considered, we have first considered some of the things that certainly by practice we think ought to be considered as part of notification. That could include signage in the emergency and admitting areas of the hospitals. Again, because of the way people enter the hospital, no one of these will ever be enough, but the availability of an opt-out card and postage-paid return envelope in emergency and admitting areas-the importance of the attachment of a postage-paid envelope is that, even in this situation, we would rather these folks are not confronted with having to hand that or make known that decision to someone that they are opting out. It's something that they can do in the privacy of their own home or send home with a loved one.

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Further, and more significantly, the inclusion of an opt-out card and postage-paid self-addressed envelope with the first correspondence to potential grateful patient donors: herein lies the meat of what we would consider the recommendation around notification. AHP Canada recommends, for the purposes of this legislation, that a hospital or its affiliated foundation should mail its solicitation correspondence to patients no sooner than one month after either the discharge of an in-patient or visit of an outpatient.

Let me talk for a second about that concept of one month. You will see in some of our guidelines and in the general guidelines that it can be as much as three months. These are international guidelines and, quite frankly, in the United States model they are usually suggesting you don't do this until all the billing has cleared. That has driven the three-month period in our general piece. We feel that the ideal time is approximately six weeks, because that allows the patient to have probably regained their strength and made them in a better position to make any choice. They're outside of the health care sphere and would be in better shape. We believe they ought not to be at all contacted before one month. We didn't just pick one month; there was some rationale there. After one month, there is some stability. It ought not to be before that.

Further, we recommend that this first correspondence must include a card and self-addressed, postage-paid return envelope that allows the individual to have their name removed from hospital/foundation solicitation programs and that this card be considered written notice, as described in subsection 26(3), "Exception re fundraising," paragraph 2. The act currently reads that there ought to be written notification. What we're saying is it can be cost-prohibitive for us to send a letter asking not to send a letter. What we're suggesting is that in that first correspondence there be a postage-paid opt-out card that the individual could respond to us to have their name removed.

I would further say that if you go into some of the practice, we in daily practice encourage people to opt out if they don't want to correspond with us. I would go back to this point: fundraising is, by its very nature, a voluntary endeavour, and we have no intention to foist ourselves upon people. It's an interesting discussion when we talk about philanthropy in its purest sense that quite often you get people talking about the idea of arm-twisting or things of that nature, and it's just so far from what we do in our daily jobs. What we do is we encounter people who are of goodwill, who have come forward to make a difference. Those are the folks that we want to talk to; those are the folks that we continue to talk to. We believe that with only slight changes to the piece regarding notification, we can achieve that end.

We are here to answer questions. I would again thank the committee for their indulgence.

The Chair: Excellent. Mr Wood, we'll start with you. We have about two and a half minutes per caucus.

Mr Wood: I thought it was a very clear and helpful presentation. It was so clear and helpful, I don't have any questions. But thank you very much for coming.

Mrs McLeod: Very quickly one, and then my colleague has a question. I appreciate the issue around notification. I've had that raised by our own hospital foundation with the same sensitivity that you've expressed today. Do you think it's appropriate, though, to leave the provision to the regulation, which is allowed for in the legislation, rather than be that specific in the legislation itself, or should it be in the bill?

Mr Farrell: I'm sorry. I didn't quite hear you.

Mrs McLeod: The notification issue: should it be in the legislation, or is it sufficient to leave it up to the regulation process?

Mr Farrell: It would be fine with regulations. We would take the direction from the committee. I just think that it needs to be defined.

Mrs Pupatello: Thanks for your presentation. I appreciate the stress you're under these days to fundraise in your sector too. In essence, you're suggesting that there would be a similar to a negative-option billing issue in that where you need to have consent in order to send people a letter for fundraising, you need to have the net cast, and if the people don't want to, then they need to report back to you. That's the condition you'd like to be able to fundraise in?

Mr Farrell: Effectively, yes. We can't find a way to do it otherwise.

Mrs Pupatello: Because it's so inappropriate in emergency situations etc.

Mr Farrell: Any time. When someone is in the hospital, even when they're near discharge, as people are leaving the hospital, I don't think it's a fair time to ask them to make a decision. They're still weakened and ill. We have wrestled with that. I would just go back to the point again that we really don't want to mail to people who don't want to hear from us, but without being able to cast the net, we don't know of any other way to intervene, and we hoped that by this-

Mrs Pupatello: But you would likely acknowledge that once you are sending out a general mailing to everyone who has come through those doors, that envelope can land in a home where others in the home aren't aware that this individual accessed health services though the hospital?

Mr Farrell: For the most part, yes, we can't say that couldn't happen, but you'll see that there are extensive exclusions almost all of the time. We ask the hospital before we get the records to exclude-and you'll see a general list of the type of exclusions that might be there.

Mrs Pupatello: Yes, I saw that. Name some for me.

Mr Farrell: Police admissions, abortion, psychiatric admission, and the list goes on. Anything that we would consider-

Ms Anne Randall: Usually under a certain age.

Mrs Pupatello: So those are at your discretion, who have made that list, for what you feel is appropriate?

Mr Farrell: What we have done is, and it comes back to the same point, we have tried as generally as possible-in each organization right now, none of us wants to mail to those individuals. We also allow individual caregivers to exclude people. We don't see what's happened, so that there's the opportunity for a caregiver at any point to stop that process. Quite frankly, that happens right now in a different manner at each one of our organizations, but we get a very limited amount of information.

Mrs Pupatello: It was interesting how this whole thing sort of grew. It may not be a matter that people mind that this information is immediately passed over to the foundation, but that there really is no law governing the fact that you can or cannot. If it's generally well known that you can, it's interesting that you are a separate incorporated body. It is not within the confines of the same corporation. So you are handing information over outside of the corporation and into the corporation of the foundation, because in every case your foundation is a wholly different corporation. Correct?

Mr Farrell: That's correct. It's not always done that way. In many cases the hospital is generating the letter and the only things that will come to the foundation are the positive responses, so it operates differently. In some cases the foundation is in fact generating those letters; in some cases they're being generated by the hospital.

Ms Randall: I would suggest they come from the hospital more times. There's a larger percentage that do it that way. That's the way we do it in ours. We don't ever see those names. The only thing we get is the donations on the foundation side.

Ms Lankin: I'm sorry; I was outside when you made your presentation, but I just read through it. My experience, in fact, has been the opposite. In two or three circumstances with different hospitals with myself and family members, the letters have come from the foundation. I wasn't unwilling to receive the information, but I found myself surprised that information had been handed out of the hospital corporation and over.

Perhaps we should be looking at some restrictions around this that don't simply exempt the passing of that information, but that require the hospital to take the first step and get consent and then pass it over. How that consent is done-I understand Mrs Pupatello's concern that any kind of correspondence to the person's home could inform others, but that's true of billings. If there are outstanding billings from your semi-private room that your insurance hasn't covered yet, that correspondence is going to come to your home address, so I'm less worried about a letter coming from the hospital that includes the kind of consent card to pass the name over.

If that were the case and that were required so that foundations were not able to receive individual patients' names unless they had agreed to have their names passed over, would you have a concern with that?

Mr Farrell: Part of the discussion we had was trying to find a place and a way to get the consent. What happens is, if anyone is asked to do that in a hospital environment, it creates a real dilemma. We would have done that, but what I was explaining before was that we don't want to mail to people who don't want to hear from us.

Ms Lankin: I know, but given your suggestion that the letter go out within a month, for example, what if the rule was it has to be the hospital that sends it, not the foundation?

Mr Farrell: That would not be a problem. It's interesting you've mentioned the absence of legislation. I know that in my situation we have a signed confidentiality agreement with the hospital and have declared what we get and how. Each individual who would even work with that signs it. We have done that in the absence of legislation. As I say, we support this in that it clears that up and will define some of that. I don't believe there would be any serious resistance from us.

Ms Sally Dobbie: I'd also mention that at Trillium Health Centre that's exactly how it's handled. The foundation actually never sees the name until that person is a donor. The hospital information department and the health records department are actually very interested in all the exclusions before those lists go to our direct mail house. Should a person choose to make a donation, then that name comes in to the foundation-

Ms Lankin: I'm sorry. Did you say the hospital sends those names to a direct mail house?

Ms Dobbie: That's right. It never passes through the foundation. We don't actually get the patient records.

Ms Lankin: Is there not a problem with that information going to a direct mail house? There's a third party who is receiving a list of names of people who were patients at this hospital.

Ms Dobbie: But there's a contract between the hospital and the direct mail house. They work closely together so they know those lists are confidential, and it keeps it removed from the foundation's records. In other words, we don't have the patient database in our files. That's the way we handle the confidentiality issue.

Interjection.

The Chair: We're over time already.

Mrs Pupatello: I've got a really important question.

The Chair: Perhaps you could ask it after, in deference to the other-

Mrs Pupatello: It's important that it be on the record.

The Chair: Very quickly.

Mrs Pupatello: I just want to know if there's a restriction anywhere to selling lists. Can you include that in an answer somewhere?

Mr Farrell: We absolutely do not trade and sell lists. It's a practice that doesn't exist in the health care sector.

Mrs Pupatello: But the mail house does.

Mr Farrell: No, those lists are seeded with bogus names all through them, and there are security issues that go through that. Any mail house that had ever done that-the government, I'm sure, must use mail houses on occasion to do this sort of thing.

Mrs Pupatello: More and more.

Mr Farrell: Anyone who would ever breach that would put themselves out of business. It would be illegal. They would be subject to all sorts of other penalties outside of what we've done.

The Chair: Thank you very much for bringing a different perspective to the hearing this morning.

With that, we stand recessed until 1 o'clock.

The committee recessed from 1203 to 1306.

ONTARIO PSYCHOLOGICAL ASSOCIATION

The Chair: Good afternoon. I call the committee back to order. Our first presentation this afternoon will be from the Ontario Psychological Association. Good afternoon and welcome to the committee.

Dr Christian Keresztes: I'm Christian Keresztes. I'm a psychologist and chair of the ethics and policy committee of the Ontario Psychological Association. The Ontario Psychological Association is a voluntary organization that represents psychological practitioners in Ontario. Its mission is to be an advocate for issues of importance to both the public and its membership.

The association has followed the development of this legislation with great interest, participating in previous requests for feedback both through a written brief and by attending meetings to discuss the legislation. The association's current response has been developed primarily by its ethics and policy committee. This committee is responsible for providing ethical guidance and assistance to members and for preparing ethical and other policy statements pertinent to psychological practice.

Psychological practitioners are health professionals, regulated by provincial statute and governed by the College of Psychologists of Ontario. In the course of their work, psychologists both produce and make use of extensive personal health information. For instance, we conduct and record the results of psychological assessments of personality and of the social-emotional, behavioural, intellectual and neurospsychological functioning of children, adults and families in a variety of settings, including health facilities, social services, schools, industry and corrections. We provide mental health counselling and treatment to citizens of all ages. These services often involve, as an integral part of the therapeutic process, the sharing and recording of an individual's most private and sensitive feelings, thoughts and life events. We access physical and mental health information collected and recorded by others to aid in our assessment and service activities. We access physical and mental health information to research the causes and patterns of health problems in the interests of knowing how to prevent and continuously improve the treatment of those problems.

OPA welcomes Bill 159. OPA welcomes the legislation, recognizes the need for it, and endorses its intent and comprehensiveness. In an era of growing concern about privacy, occasioned partly by the ease of electronic data interchange, the protections intended by the act can contribute to maintaining public trust in government and in our health care system.

OPA welcomes, in particular, the following aspects of Bill 159: the codification of limitations on the collection and disclosure of personal health information; the codification of individuals' right of access to their own health information; the codification of the responsibilities of health information custodians and information managers, regardless of whether the setting is a sole practitioner's office or a large organization; and the responsiveness to previous consultations.

One example of this, and of great importance to psychology, is the incorporation of a suggestion made by OPA at one of the consultations; namely, the right to refuse access to raw data from psychological tests. This will ensure the continued utility of these tools for assessment and protection of individuals from harm due to misinterpretation of raw data by persons not trained to interpret such data.

In spite of OPA's opinion that the act is needed and incorporates much that will be helpful to the protection of personal privacy, the association has some very serious concerns about Bill 159.

The first of these is the removal of the lockbox provision. Given that different types of health information have different levels of sensitivity, the implementation of a lockbox provision would be helpful. For instance, patients would have more direct control over their privacy if they had the right to limit the transmission of selected psychological and psychiatric information to other health care providers. Such a provision was included in previous versions of the act. It is our strong recommendation that it be put back into the act.

Second, there is a lack of explicitness about the need-to-know criterion. An explicit statement clarifying the principle of need to know and its application would strengthen the legislation. Application of this criterion would ensure that personal health information custodians and managers include this concept in policies and procedures related to the sharing of information in an office or health facility. For example, there should be graded access to the contents of electronic health records, so that potentially sensitive physical or mental health information should not show up on a receptionist's screen. In addition, policies and procedures should ensure that employees, contractors and consultants understand their responsibility not to seek or search for information they do not have a legitimate need to know. Also, the implementation of health information systems and networks must guarantee the control of access to personal health information in accordance with defined need-to-know criteria.

Subsection 21(3) stipulates the nature and extent of the information to be collected, used or disclosed that may be identified when seeking consent. OPA believes that such information should be conveyed in all situations of obtaining consent for disclosure.

Third, there is the implied definition of the record as a single entity. The current definition of a record, although comprehensive, can be construed as being a unitary entity, suggesting that a disclosure means disclosure of all the information in a record. As such, instead of looking for relevant information, the entire record may be sought or mandated, much of which may not be relevant to the purpose. This is particularly problematic when information is sought for investigative purposes, such as warrants, or for proceedings. Often, a warrant does not provide any option to limit disclosure to relevant information. We believe the provision of warrants without true judicial oversight about the nature, level and relevance of the health information being sought promotes fishing expeditions, unwarranted invasions of privacy and potential harm to the individual.

Recent changes to the Child and Family Services Act regarding tele-warrants have already raised similar issues for us. Access to an adolescent's most private thoughts and feelings, when unwarranted, can be devastating to the adolescent's treatment process and to his or her future willingness to engage in mental health treatment.

One recommendation that might help offset this problem is to make it clear in the act's definition of a "record," that a record includes the concept of a part of a record. This latter phrase is used in subsections 34(9) and 48(5), but is not used consistently elsewhere. Using it in the definition would offset the need to use the phrase throughout the act.

A second recommendation is that the act establish special protections, such as when obtaining a warrant, for certain types of health information; for example, information in a lockbox or highly sensitive information like psychotherapy notes. In this latter case, OPA notes that the recent US regulations to the Health Insurance Portability and Accountability Act established special protections for psychotherapy session notes. Such protection does not include factual information about diagnoses, medication and attendance at sessions, but it does include protection of notes about the individual's feelings and thoughts.

Fourth, there are profuse and unclear exceptions to the need for consent. There are a large number of permitted uses which allow for disclosure without consent and which we believe are a matter of concern to psychologists as health service providers and as citizens: the whole issue of directed disclosures which gives the Minister of Health considerable power to compel disclosure; apparent exemptions for insurance companies and WSIB; unclear exemptions for employment and labour relations purposes. The possibility of employer access to health records is particularly worrisome.

The presence of such a large number of exceptions in part VI undermines the intent and credibility of the act. In many of the exceptions, we believe there needs to be someone with independent judicial authority who can establish and review whether a disclosure for a warrant, proceeding or court production is relevant and who can remove what is not relevant.

When personal health information is released into a proceeding without consent, the act, in subsection 34(4), provides for a process of judicial review, unless "(d) the proceeding is one in which the competency, conduct, actions, licensing or registration of a person are in issue." We believe this exception is unnecessarily and dangerously broad. All proceedings appear to be included. What proceeding is not a proceeding about one's conduct or actions? It is not hyperbole to consider the absurd example that a parking ticket could be argued as a proceeding to warrant disclosure of a health record without consent.

It is not clear how the provisions of Bill 159 apply to insurance companies, employers and workers' compensation boards. Why should these organizations be treated differently from others? Clarification is needed regarding the protection of personal health information by and from these organizations.

Fifth, there is an onerous burden on health care research. It is our strong opinion that section 32 has the potential to create a structure that would make even very simple research projects extremely difficult to carry out, placing unnecessary obstacles in the path of research undertaken to improve direct health care and the health care system. Under the act research ethics boards, which presently exist in universities, will have a legal obligation to enforce what have until now been consensually established guidelines, namely the federal Tri-Council guidelines for ethics in research. This is a significant and novel shift in function for university research ethics boards, and they might not be equipped to accommodate the volume of requests that the legislation would be expected to generate. The act apparently does not allow for institutions that are health information custodians to create their own research ethics boards for this purpose.

The act also goes beyond the Tri-Council guidelines in requiring written consent for research. Under the Tri-Council guidelines, oral consent is acceptable under some circumstances, such as in respecting cultural differences, as perhaps among First Nations people.

It is our belief that the current research provisions of the Mental Health Act would provide a much more realistic and reasonable structure for the use of personal health information for research purposes.

We are aware that the possibility of linking health information databases for research purposes was not addressed in the Mental Health Act. This is a new concern in light of recent technologies and may have led to many of the unwieldy provisions of Bill 159. We appreciate the opportunities, complexities and challenges that these new technologies bring. However, we believe the entire section on research needs rethinking. To this end, it might be helpful to incorporate concepts that differentiate between forms of health information, such as personally identifiable information, non-identifiable information and hidden identity information. Such a differentiation might enable access to information on linked databases without undue risk of violations of privacy. The researcher who accesses hidden identity information would never be aware of the personal identity of the persons whose health care information is being accessed. There would be strict control over the linkage codes, and there could be severe penalties for those who try to break or access the codes without legitimate authority to do so.

Too many details are left to the later writing of regulations. In its present form, the act leaves virtually all operation and oversight to be resolved through regulations, which generally do not go through the same type of consultation process as legislation. The drafting of regulations will determine whether the intent of the act is achieved or subverted. Accordingly, OPA requests that the regulations, given their importance, should undergo the same kind of extensive public consultation process as is given to the draft act.

Also, there is use of language that is inconsistent with other legislation and court decisions. Section 33 deals with the disclosure of personal health information related to risks. The criterion for disclosure is "if the custodian believes on reasonable grounds that the risk is significant." This is a more liberal test than set out by the Supreme Court of Canada in Smith v Jones, 1999, which upheld in large measure the well-established Tarasoff precedent on requiring disclosure only if risk of harm is "imminent and serious." It may be better to stay with the stricter Tarasoff criterion.

In its present form, clause 36(1)(g) gives permission to health care providers to report past criminal acts of persons receiving services. In most circumstances, ethical codes of regulated health professions would regard such reporting as a breach of confidentiality.

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The use of the phrase "on his or her own" in section 46(2)(b) is confusing. Does this mean all individual therapy regardless of age or is it referring to the provisions of section 28 of the Child and Family Services Act? We suspect the latter and suggest that reference to the specific section in the Child and Family Services Act and similar language to that section of that act be used.

The Chair: Thank you very much, and that does give us about three minutes for questions. This time it will be the turn of the government.

Mr Wood: On the question of research, some have suggested there should be a sign-off by some public official such as, say, the Information and Privacy Commissioner. So the ethics committees presumably would do their work and that would then go to some public official who then, in effect, would set the policy and make sure the policy has been implemented. Do you see that as a good idea, a bad idea?

Dr Keresztes: In principle it's a good idea. One of our concerns is that university research ethics boards may not be equipped to handle the volume of requests that might be generated by the act. An alternative might be to allow other institutions to have research ethics boards, non-university-affiliated institutions, which would then do their work, although the problem they would face is they may not have the requisite skills and knowledge to make a proper determination of whether a proposal meets the requirements of the act.

Mr Wood: Is this a situation where these other bodies cannot have these boards or they simply don't have them?

Dr Keresztes: Other bodies do have such boards. It is not clear under the terms of the act as it stands right now whether these boards would be allowed or how they would be recognized under the act.

Mr Wood: Let me return to the question of lockbox for a moment. An alternative model to having a lockbox is simply to say, "We're going to have the record stand as it is and you either authorize disclosure or you don't"; in other words, an all-or-nothing approach. The concern that we've heard expressed is where you can take some things out of the record and destroy its clinical integrity.

Dr Keresztes: That's a very difficult balancing act, but for mental health information and psychiatry and psychology it would be very problematic if there was complete access to all of that information, psychotherapy notes being a very good example. But there may be other kinds of information as well. It's understandable that there's no universal agreement about what sensitivity is, and that's a problem.

Mr Wood: It would seem to me that if you had incomplete notes from therapy that's been offered, those notes are really not very helpful, are they?

Dr Keresztes: Usually psychotherapy notes are not released or made public. The psychotherapist keeps those notes for himself or herself and they are not usually what's requested, although sometimes on fishing expeditions people do go looking for them.

Mr Wood: If you were reviewing what a psychotherapist had done for someone and had only part of the notes, you couldn't give an opinion as to whether that therapy was well-founded or poorly founded, could you?

Dr Keresztes: I would have to consider further the range of information the therapist may keep in notes, and that may be highly variable. The notes are sort of a running record for the therapist to understand what's going on and will not have complete details. So those are best not interpreted out of context; that is, outside of the presence of the therapist.

The Chair: Thank you very much for taking the time to come before us here today.

CANADIAN ASSOCIATION OF CHAIN DRUG STORES

The Chair: Our next presentation will be from the Canadian Association of Chain Drug Stores. Good afternoon and welcome to the committee.

Ms Deb Saltmarche: Good afternoon, Mr Chairman and committee members. Thank you for allowing me the opportunity to present to you this afternoon.

The Canadian Association of Chain Drug Stores was established in 1995. We're a voluntary, not-for-profit national association representing 18 retail chain drugstores across Canada; 13 of our members have stores in Ontario. Our members are major stakeholders in the Canadian retail and health care fields and fill over 53% of all prescriptions in Canada.

Our work includes the promotion of the pharmacist as a primary health care provider and ensuring the viability of chain drugstores. Representing pharmacists as primary health care providers, we have a significant interest in the proposed Bill 159. We have previously submitted a brief on this subject and we're pleased with the response to issues that we have previously presented; for example, the removal of the lockbox provision, which we feel could be detrimental to the provision of pharmaceutical care.

CACDS firmly supports the principle for ensuring the security and confidentiality of health information and the need for legislation to achieve this. However, we would like clarification on the following sections of Bill 159.

With respect to section 12(9), CACDS interprets the legislation to indicate that Bill 159 would not preclude other health care practitioners from disclosing all information necessary to pharmacists to allow them to fulfill their roles as primary health care providers. This role includes but is not restricted to provision of patient care, reimbursement of drug claims, ensuring that patient claims meet criteria for coverage under specific plans and compensation of pharmacists' services.

We would like to ensure that the ability to collect personal health information expressly permitted by a specific law or necessary for a lawful purpose related to a function or activity of the custodian not be adversely affected by the interpretation of what is considered the necessary amount of information. We'd like to receive direction on whether our interpretation is correct, and if not, we'd like to see the legislation clarified to this effect.

With respect to section 22, which addresses the collection, use and disclosure of personal health information, we'd like to receive clarification as to how this informed consent may be obtained.

We refer to the recent experience in Manitoba where legislation was introduced a couple of years ago. It was stated in the regulations that informed consent in a pharmacy could be achieved by the posting of a sign in the pharmacy which states that the pharmacy staff will collect, use and disclose information from consumers for the purpose of providing health care services. We would like clarification as to whether a similar method for obtaining consent would be sufficient to satisfy the requirements of the legislation in this respect.

The next area I'd like to address is the operational roles of the various players in the chain drug industry under the legislation. Under section 2, a health information custodian is defined as "a person ... who has custody or control of personal health information." By this definition, we interpret that a chain head office is not a health information custodian, as the head office has an operational role in ensuring that its stores comply with the legislation but it is not the custodian of the data, as the data resides at store level. Further, we interpret that all pharmacists are health information custodians and that the pharmacy manager-owner of independent stores has an additional responsibility in ensuring the legislation is complied with. We further interpret the role of an operator to include a pharmacy manager, an owner or a franchisee, and not the head office.

With this understanding, we further conclude that in a mass merchandiser such as Wal-Mart or a supermarket with a pharmacy such as Loblaws, only those employees under the direct supervision of the pharmacist would be "performing duties for or on behalf of the custodian."

Further, we interpret the role of the head office IT department or help desk as that of an information manager. These IT departments may or may not have access to store-level data, dependent on individual chain setup.

Following implementation of the legislation in Manitoba, it was agreed that an agreement between the pharmacy operator and the IT department would allow access to view and provide related services to pharmacists relating to use of health information data.

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With respect to agreements with information managers, we see an administrative burden being caused on the pharmacists by the implication that we see in the legislation that each health care custodian would have to sign an agreement with each IT manager. There may be many pharmacists and many health care custodians in one location. The health care custodians may vary, for example, with relief pharmacists, and the signing of individual agreements between all pharmacists for all locations within which they work and the IT manager is an unrealistic administrative burden.

Under the current legislation, we would like to receive clarification as to whether it would be sufficient for the pharmacist-operator to sign one agreement with the IT manager to cover all its health information custodians at one location.

Again, on an operational level, we would like clarification on the role of pharmacy district managers. District managers are employed by head offices, not by health care custodians; however, they do have access to the dispensary to perform operational functions. Is the district manager considered to be in the service of the pharmacist-operator and therefore covered by the legislation as it stands? If not, this issue was addressed in Manitoba by requiring the district manager to sign a confidentiality agreement with the pharmacist-operator. We would like to clarify whether this approach would be adequate in Ontario and in the spirit of Bill 159.

With respect to subsection 18(1), which states, "a health information custodian ... shall take reasonable steps to establish and maintain administrative, technical and physical safeguards and practices," again relating back to implementation of the bill in Manitoba, a procedure is in place in many large stores whereby the patient drops off a prescription and then asks to be called over the loud speaker when the prescription is ready. We would like clarification in this respect, because in Manitoba it was deemed that was an inappropriate use of health information and that practice was prohibited.

With respect to subsection 24(2), which states that the health information custodian should take "steps that are reasonable in the circumstances to ensure that the information is accurate, complete and not misleading": pharmacists regularly collect information from a variety of sources, including, but not limited to, consumers, caregivers, long-term-care facility staff, and other health care providers. CACDS interprets that "steps that are reasonable" would cover collection of data from all necessary individuals while relying on those individuals to meet the requirements when they disclose the data. We would like to receive clarification on this interpretation.

With respect to subsection 12(5), which states, "to the extent reasonably possible, a health information custodian who collects, uses or discloses personal health information relating to an individual shall do so in a manner that conceals the identity of the individual," we would like clarification in two respects operationally to that section of the legislation.

First, requiring segregation of patient name from a patient file at the store level would not be feasible in the process of providing care to consumers. Second, claims adjudication protocols currently require that patient name is sent along with patient ID for payment of a claim.

Third party adjudicators have access to store pharmacies in order to conduct audits. Third party adjudicators are not employed by the pharmacy custodian; however, they do provide services for the pharmacy custodian. Again, we would like clarification as to whether third party adjudicators, under the legislation as it stands, would have access to the pharmacy to conduct audits.

I would like to thank you for the opportunity to comment on the legislation. I would be pleased to answer any questions you may have.

The Chair: Thank you very much. That affords us just under three minutes per caucus. This time we'll begin with the Liberals.

Mrs McLeod: I'll lead off. I was intrigued with the concerns you had about the nature of getting consent. I'm not sure that a sign posted would be considered adequate under Bill 159.

What kinds of concerns would the pharmacists have about their ability-obviously they are going to have information disclosed to them in the prescribing, which we assume has prior consent to file that prescription, but are there other issues in terms of being able to call back the doctor to get more information or being able to communicate with other pharmacists and therefore to disclose that would be onerous in terms of getting consent from the patient?

Ms Saltmarche: I think I heard two parts to your question and one was the consent of the patient. Logistically, to get written consent for every patient is an administrative burden. It also puts the pharmacist, who is the front-line health care practitioner in many cases, in a difficult situation in that they're explaining the regulations and the bill.

We found the model that was followed in Manitoba very useful in that a posting of a sign informing the patients of what their information could be used for got over that administrative burden, plus the issues at the pharmacy level in terms of understanding the legislation and explaining it to patients.

I think the second part of the question was related to obtaining information from other health care practitioners. Is that correct?

Mrs McLeod: Yes.

Ms Saltmarche: We do have a concern, and it's under subsection 12(9), that as pharmacists we would be able to collect all necessary information to provide adequate health care to all consumers. We're concerned that the legislation may leave up to the interpretation of an individual health care provider what the extent of the information needed by another health care provider is. We would like clarification that if a pharmacist is requesting health care information that the other health care provider assumes that is for the use of the health care of the patient, so that whatever information the pharmacist needs, whether it be with respect to providing pharmaceutical care or obtaining reimbursement for a prescription, can be provided under the legislation.

The Chair: Ms Lankin?

Ms Lankin: I actually have no questions. I appreciate the clarity of your brief. You've put a number of questions to the ministry for clarification. I think as we see this bill evolve, we have some expectation that there will be changes. We'll keep your questions in mind and ensure we try and get clarification for them.

The Chair: Mr Wood?

Mr Wood: I thought your presentation was quite clear as well. We appreciate your coming. I have no questions.

Mr Raminder Gill (Bramalea-Gore-Malton-Springdale): I have one brief question, if I may. You mentioned the pharmacist announcing the name of a person picking up a prescription. In your mind, do you think it's a breach of some kind of privacy information?

Ms Saltmarche: No, I don't. I believe that if the patient asks to be called when a prescription is ready, they've already given an implied consent that we can do that.

The Chair: We appreciate your coming before us here today.

CHURCH OF CHRIST, SCIENTIST

The Chair: Our next presentation will be from the Church of Christ, Scientist, the Christian Science Church. Good afternoon and welcome to the committee.

Mr Lyle Young: It's a pleasure to be with you today. Thank you very much for taking the time to hear me.

I represent the Church of Christ, Scientist. You might know the church as the Christian Science Church. Some of you probably know the Christian Science Monitor. The Monitor's six Pulitzer prizes I think bespeaks our church's deep interest in matters of public interest, matters of societal interest. There would be some 20 or 25 churches of our particular denomination in Ontario.

A little bit on my background: I have been a Christian Science practitioner since 1987. A Christian Science practitioner is someone who gives his or her full time to helping others through prayer. My practice is in downtown Ottawa. A Christian Science practitioner would help people with a wide variety of problems, everything from a very physical illness to mental illness to marital problems to family problems or work-related problems-problems of any sort. The prayer that is given is consistent with the Biblical teaching about praying for others. Every Christian Scientist sees practising Christian healing as an integral part of practising Christianity. But Christian Science practitioners are those who give their full time to helping others through prayer.

In addition to being a Christian Science practitioner, for the last five years I've served as the Ontario Committee on Publication. The use of the word "committee" here dates back to the 19th century when one of the definitions of the word was "a single person charged with a responsibility." As the Ontario Christian Science Committee on Publication, part of my duties would involve public affairs, representing our church in public forums such as this one.

In that capacity, I serve on the Ontario Multi-Faith Council on Spiritual and Religious Care. Some of you might know the OMC. It's the province's most prominent multi-faith organization, made up of some 33 faith group members. Basically, it's a transfer payment agency of the provincial government. The current level of funding is $1.5 million. The OMC has the duty and the responsibility to help ensure that those in provincial institutions-these would be hospitals, prisons, homes for the elderly-receive adequate and appropriate spiritual and religious care.

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The last three years, I've served as secretary-treasurer of the OMC. In that capacity as well, I sit on the joint committee that's made up of representatives of the Ministry of Health, the Ministry of Community and Social Services and the Ministry of Corrections and, up until just recently, was the chair of that joint committee. So I bring a fairly broad range of experience in thinking about matters related to spirituality and to health, not just from the perspective of our own particular faith group but from that of 32 other faith groups as well.

My comments on this particular piece of legislation aren't very lengthy, but it did seem to me to be important to come in and put those comments on the record. If you look on page 11 under "Other exceptions," you'll see that there are several exceptions to the health information custodian. The first is an aboriginal healer, the second is an aboriginal midwife and the third is a person who treats another person by prayer or spiritual means in accordance with the tenets of the religion of the person giving the treatment.

Certainly Christian Scientists would see that as something that's very welcome, because then individuals who are practising spiritual healing don't need to keep records of particular ailments or particular physical problems that their clients would have told them about. Christian Science practitioners really have no medical records; they're there trying to help people from a religious basis. Although there are strong health benefits to religious practice, they are not there primarily to help the person in terms of health. The care provided really is entirely spiritual. Practitioner billing records really contain no description of the patient's physical condition. Those records only consist of information needed for billing purposes such as name, address, dates of service. Any other information would be wholly religious in nature.

The care provided by a Christian Science practitioner is a religious ministry, and in that sense it's similar to the clergy of other faiths who are asked to have prayer for healing. In other words, it might be like an Anglican priest who perhaps was asked by a parishioner, who maybe has received a diagnosis that's serious, to pray for the individual. Or you might have a Pentecostal minister who is asked to pray for an individual who would be sick. So in that sense, the Christian Science practitioners' religious ministry is very similar to that.

What I wanted to say simply was that we're very happy to see this provision in Bill 159. It's a good protection for Christian Scientists. It's also a good protection for anyone who, in time of illness, is turning to another for prayer as a resource to meet that illness, to cope with or to heal that illness. It may seem like a fairly obvious provision, but sometimes fairly obvious provisions get left out of legislation. So we're very happy to see it there.

I think the language was just lifted from the RHPA, so again we really just wanted to come and put on record that we're pleased to see it there. In any future drafts of the legislation, we'd be very pleased to see it there. We are grateful that it was there. Thank you very much for your time.

The Chair: Thank you. That certainly leaves us time for some questions, just over three minutes per caucus. This time we start with Ms Lankin.

Ms Lankin: I have no questions.

Mr Wood: I have none either. I thought it was very clear, and we appreciate your comments. It was very helpful.

Mrs McLeod: I'm not sure that it's a relevant question to ask you. I appreciate the clarity and your appreciation of the fact that that inclusion is there for people who are providing healing through spiritual means. The issue that I have some questions about, but we haven't had a chance to get at in the hearing yet, is unregulated practitioners providing different kinds of therapy in the name of a spiritual kind of healing but who are not in fact practitioners of a faith community. I'm just not sure it's a relevant question for you. I don't know how we catch these kinds of individuals. There are some very questionable therapies being practised by some unregulated so-called health professionals that I wish there was a way that we could capture without seeming to exclude others. If you have any comment on that, please, but I'm not sure it's going to be a relevant question for you.

Mr Young: I'm not sure. I think that one of the nice things about the wording here is that by saying "the tenets of the religion of the person giving the treatment," that might imply a certain established religion, and if so, that may be helpful. But I recognize the problem for the writers of the legislation. It's hard to do that.

Mrs McLeod: It is. Thank you.

The Chair: Thank you again for coming before us here this afternoon. We appreciate your bringing your perspective.

JOHN MANUEL

The Chair: Our next presentation is from Mr John Manuel. Good afternoon, Mr Manuel. Welcome to the committee.

Mr John Manuel: It's interesting that the last question from Lyn McLeod addressed a problem with which I am, regrettably, all too familiar. Not that I'm casting aspersions on any particular individuals or groups, but it is regrettable that there is quack therapy. It unfortunately is that which brings me here today.

I've chosen, because of the 10-minute limitation, not to read my presentation-you can do that easily yourselves-but rather to summarize it, to add perhaps a few personal comments, and to then focus on the particular suggestion that I'm making, which is really, in my mind, fairly simple.

First of all, I should introduce myself. My name is John Manuel. I have chosen not to include that name in my presentation because of certain pending litigation, which I will address in a few moments. The bottom line is-

Ms Lankin: Sorry to interrupt. You said you'd chosen not to include your name in the presentation. However, you have just put your name on record in the Hansard. You're aware of that?

Mr Manuel: I am aware of that, and I'm also aware of the rules regarding parliamentary privilege, that they don't apply in this room and so forth and so on. It is for this reason that I am being most careful. I certainly don't mind using my own name. If you have any questions, you have my telephone number, and it's on record. The fact that I did appear here today is quite conveniently a matter of public record. What I said, what I talked about, whose name I mentioned, is another matter. So I'm going to be very cautious there.

However, the bottom line is, my daughter unfortunately followed in her dear mother's footsteps and developed mental illness, during the course of which she has regrettably decided that all kinds of horrible things happened in her childhood which never did. I am named in those activities, along with a very good friend of mine, her own brother and her brother's friends, and it's a difficult situation to deal with.

I have a professional accounting practice, or had for much of my adult life, so for me confidentiality is as automatic as knowing where the brake pedal is on the car. You're not thinking about it all the time, but you know it's there, you know how to use it and you're ever-conscious of the need to have it very close by. Confidentiality to me is a matter of deep importance.

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However, there were times in my professional practice when I was visited by the RCMP and by officers of the investigative unit of various levels of government, Revenue Canada among them, in which they demanded rights to see certain things which I considered to be confidential between myself and my client. How did this happen? Simply because there is legislative authority for them to do so. That legislative authority in those cases overrode any considerations, or almost all considerations, of the need to preserve confidentiality. There was a conflict in my mind as a professional practitioner as to whether or not the presumed authority was in fact properly executed and whether or not I ought to, notwithstanding the apparently important-looking papers in their possession, release information in my possession to these important-looking people. That is common to any professional person, I'm sure.

However, it is that particular element which I am looking for in this bill. Being a defendant in a civil trial has meant that I have had to use all of my resources not to prove that I am, beyond reasonable doubt, not guilty of the things that were presented, but overwhelmingly unlikely to have committed them and that my daughter is overwhelmingly not to be believed. That's the challenge presented in a civil case, different altogether from a criminal case. I am only one of numerous fathers-typically fathers-who are defending themselves against the accusations of mostly daughters-occasionally sons, but mostly daughters-in this kind of situation where the daughter has unbelievable confidence and sympathy, naturally, from the community from which juries are being drawn and from the community from which lawyers are drawn and judges are drawn.

Our problem is access to medical records where they are relevant to demonstrating that innocence is present. The basis of all of this is very simple: you tell me you're sick. Show me how sick you are; show me what kind of sickness you have. You tell me I am responsible for this; show me that I am responsible. Show me that beyond any doubt I am responsible. Let me demonstrate from those same records that there are all kinds of things in there that, unfortunately confidential though they may be, are useful to me in demonstrating that I could not have done these things, that in fact there are other mitigating things within those records. That's an extremely difficult call to make, and I don't think any father is qualified to make that call, although he is likely to be very concerned about getting access to those records.

It is in that framework that I have come today. Generally speaking, I think what I see is fair. I direct your attention only to section 34. Again, I'm not a lawyer. I am presenting what I think to be the place where we might put something that would provide a need for people like myself.

We have section 34, "Disclosures in proceedings":

"(1) Subject to this section, a health information custodian may"-that permissive word "may"-"disclose personal health information relating to an individual," and then we jump down to paragraph (e), "for the purpose of complying with,

"(i) a summons, order or similar requirement issued in a proceeding by a person having jurisdiction to compel the production of information, or

"(ii) a procedural rule that relates to the production of information in a proceeding."

There's nothing wrong with leaving those words there. I think they're useful. There are procedural rules that are developed, some based upon common law principles, some based upon statutory provisions. Summonses and orders are generally issued with reference to statutory provisions.

My question is, what statutory provision exists which permits these things to happen? How difficult is it for us ordinary citizens trying to get on with our lives to do the things that are uncomfortable but demonstrably necessary in order to overcome some of the obstacles that are put in our way? I think if we have statutory authority to fall back to, procedural rules and summonses and orders will have some basis for their origin. That's all I'm addressing here today.

I'm suggesting that section 34 be amended to include a further paragraph, and I put that on the last page in bold of my very brief presentation. I'm still not comfortable with the words and I'm certainly not a lawyer, so I don't know why I would even presume to go this far except to give some guidance as to the kind of character that I'm trying to put into it: "a person defending a criminal or civil proceeding, upon the order of a court, and upon such conditions as the court may stipulate, where the action against the person is based upon a medical or mental condition of the individual, and the person requests, in prescribed form, such relevant health records as may reasonably be considered necessary to presenting a fair defence."

I think failure to do something like this will regrettably play this whole act into the hands of those for whom fairness is not a consideration. Confidentiality, while useful, can unfortunately become a mask of secrecy behind which culpable behaviour by practitioners such as Lyn McLeod referred to, and others, and malicious or ill-advised intent by accusers can proceed unrestrained. So we're not only building a system by which there are rules by which to play a very important game, but at the same time, if a violation of those rules occurs, if something goes wrong in the middle of the game, how do we solve that problem? What rules do we build to say, "OK. Time out. What do we do now?" That's what we're looking for. I say "we." I'm representing myself here, but there are people like myself who share this very deep concern.

So I share that with you folks. Thank you for inviting me into this process. Democracy comes from all corners. I guess I come from one of those corners. Thank you for your time.

The Chair: Thank you, Mr Manuel. I'm advised our next group isn't here yet, we don't think. Is there anyone here from Zero-Knowledge Systems?

In the absence of that, I would certainly entertain a brief question from each caucus, if you're inclined to take questions.

Mr Manuel: Yes, of course.

The Chair: This time the rotation would start with the government members.

Mr Wood: I don't know that I really have any questions, but if you'd like to leave your card, maybe we can get a little information for you on this. I'm not sure to what extent the existing laws-you have to read this law in relation to all the laws, so we may be able to give you a little more information as to what extent what you're trying to do here is already available.

Mr Manuel: The problem with looking to other laws is that this law is specific in addressing what happens with medical records. It is in this place that we can not only provide confidentiality over those records, but at the same time provide for exceptions to that and access to them where necessary. I don't think we should be looking all over the place and passing it on somewhere else. I'm hopeful that this committee will accept the challenge to say this is one place where we might codify that clear intent of this government to be fair to all concerned. If you embody it, embody it in this piece of legislation.

Mr Wood: If we had half a day, we could get into all the complexities of legislative drafting, which I'm sure you don't want to hear, but I'll see if I can get some information for you and give you a relatively simple answer as to whether or not what you're looking for is going to end up being a part of this. If you'll give me the card, I'll try and find something out for you.

Mr Manuel: Thank you.

Mrs Pupatello: I guess that's surrounding my same question, that currently a warrant could be issued in order to access that information now. Your lawyer would be able to arrange a subpoena to get that.

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Mr Manuel: The rules under which those are being issued are being eroded. The federal government is amending the Criminal Code, which makes criminal cases more difficult. Judges are bound by those rules. Legislation should guide people in formulating those rules and in issuing those summonses. I'm suggesting that this piece of legislation is one place where such a rule might be provided for their guidance.

Mrs Pupatello: So are you telling me that at this point you're not able to access a warrant or subpoena currently in order to defend your case?

Mr Manuel: I'm saying it is unnecessarily difficult, and becoming more so. The thrust of this is confidentiality and limited access, and I accept that. All I'm saying is, let's not make it more difficult for ordinary innocent folks in the land to be able to defend themselves against things which arise from those very medical records that we're trying to get at. This is a place where we can solve that problem. Doing so, embodying it in a piece of legislation that says, "This is the way the game can be played," will guide people in issuing orders, will guide people in making applications to courts requesting that information. It's becoming increasingly difficult. The door is being closed on us. It should be difficult, but it shouldn't be impossible. There should be some specific direction that we can point to. I'm suggesting that this bill could provide that place.

Ms Lankin: I appreciate your comments. We've received letters from a number of individuals who have raised the same concern. I think you are showing an understanding of both the complexity and the balance that has to be looked at. I also acknowledge that you've suggested your wording is just a suggestion, an idea, and that we should work with it.

I would hope, Mr Wood, if you're able to provide some information to Mr Manuel, that you can share that with us. I'd be interested in what the existing provisions are.

I'll tell you my concern with an approach that embeds it in the freedom-of-information and protection-of-health-information privacy legislation. A number of years ago, in Criminal Code and court proceedings, we had changes to the laws that prevented defence attorneys from going after personal medical record information of women, for example, who were victims of rape: the rape shield clause. Again, I'm not holding you to this wording; I understand that it's a best effort that you've put forward. But something where the action is based upon medical or mental condition of the individual opens up a new access for lawyers to determine what that means and who it applies to in a way that could have implications far beyond what you're intending.

My sense is that the right of access to appropriate information for defence purposes needs to be understood and clarified if there is a problem, but not embedded in an exception to the privacy rules. Otherwise you open up a new way to get access to medical records for a whole range of things that you wouldn't want and I wouldn't want people to have access to medical records for.

I just place that forward as a concern, but I think Mr Wood's undertaking is very helpful. It will be helpful to all of us.

Mr Manuel: "Under such circumstances as might be prescribed by regulations." I mean, there are ways around these things, to embody in the legislation that there is a clear intent to be fair and to provide an avenue for access from which you can then develop regulations that limit that. I understand the process by which these things happen to some degree, but not to walk away from it. I don't think that's reasonable, for a government to walk away from it.

I'm extremely sensitive to your concern for violation of privacy, but when you're telling me that it's my fault and I did it, I'm sorry, ma'am, I want you to show me. I want to have the same right of access to the information upon which you decided that, in order to prove that it couldn't possibly have happened. Regrettably, that rests in the medical records and only there. Because it rests only there, it becomes critical to a defendant to have access to it, notwithstanding the fact that I'd rather not see my daughter's medical records. Honestly, I don't want any part of this, but I'm sucked into the vacuum, the void, of this thing. I have to fight with everything I've got. Some of the things that I've got are the things that you've got. Some of the things that my daughter has are the things that I want to have. That may seem unfair, but fair's fair, folks. Give me an equal opportunity.

How do we draft those regulations? We don't draft the regulations by saying somebody else is doing this. We don't draft the regulations by walking away from it. We codify it, we embody it in a piece of legislation, we write supportive legislation, we design forms, we establish regulations and procedures, and we embody that into the legislation and support it through these other mechanisms. I really encourage you that this is important to a small number of people in Ontario, but to that small number, it is exceedingly important-the most important, horrific thing that has ever happened in my life. I have sustained a near bankruptcy, I have gone through a fire, I have lost money in the stock market, but nothing compares to the anguish that I have felt through this. To have my government close the door a little bit tighter on me is not acceptable. Sorry.

The Chair: Thank you very much, Mr Manuel. We appreciate your taking the time to come before us and bring your perspective here today.

Mr Manuel: I'm prepared to leave several cards for general use if anyone else wants to-

The Chair: Thank you very much.

Ms Lankin, at lunch you mentioned there was an issue, and I don't think our next presenter has arrived yet, so perhaps this is as good a time as any.

Ms Lankin: Thank you very much, Mr Chair. I've been trying to turn my mind to the process for committee to deal with this bill, given that our public deputations are scheduled at this point in time to end midday or so tomorrow. I must indicate that in the back of my mind is also the rampant rumour that the House is going to prorogue. If it does so without a resumption of the House to pass a motion to carry on bills, this bill will be lost on the order table.

I think the government has acknowledged the benefit of hearing from people, that there are a number of issues and ideas that the ministry is listening to and taking account of and that will be part of their advice back to the minister of what has taken place in these proceedings. I also think, however, there has been a genuine expression on the part of all three political parties to see a non-partisan process of working together to come up with some recommendations which may inform the ministry's work and/or the advice to the minister. The minister can do with that advice what he will at that point.

In speaking with Mr Wood, what I would like to propose, and see if committee members think this would be useful, is that we ask legislative research to produce the summary of the proceedings with some of the key recommendations-I'm sort of assuming that ongoing work has been taking place as the hearings have been proceeding-and that that summary be circulated to committee members. Perhaps we also have an opportunity for that summary to be given to the ministry, and the ministry could provide us with any key comments they have.

There may be some things-for example, Mr Jackson presented to us that it was not their intent in any way for this legislation to interfere with the scheme of the RHPA. It's not very necessary for the committee to turn its mind to significant amendments or suggestions to that area of the legislation if the ministry itself is embracing the recommendations that have come forth.

So we might be able to get a little bit of feedback from the ministry. Then the committee could meet, with those two documents in hand, to discuss what we think of the key recommendations that we've heard from presenters and the ministry's response to them, and see if there's a consensus on any number of issues to recommend to the government with respect to the future of this type of legislation, whether it be this bill, a new bill, or whatever.

In making this suggestion, I do recognize that if the House prorogues, there is not a legal mechanism for this committee to meet, but that MPPs who happen to also be members of this committee can meet together as a group at any time we wish.

I'd like to ask if legislative research could tell us what a reasonable time frame would be to receive a copy of a summary of these proceedings and what the ministry would suggest it would need to respond in any way to some of the key issues that have been heard. Perhaps we could select a date that is mutually convenient to us as a group and, depending on the status of the sitting of the Legislature, at that point in time we could meet officially as a committee or unofficially as a group of MPPs to discuss recommendations to the ministry.

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The Chair: First, I wonder if the research officer can give us an idea of the timeline.

Mr Andrew McNaught: I think we could have the summary early next week.

Ms Lankin: Monday?

Mr McNaught: Yes.

The Chair: Mr Jackson, might we put you on the spot for a second day in a row and ask you not just from what you've been able to glean sitting in the hearings themselves, but once you've had a chance to look over the summary prepared by the research officer, what sort of time frame would you be able to turn around and give your thoughts in response to the recommendations that have been made by deputants?

Mr Phil Jackson: Probably about two weeks, to be fair, given the volume, unless the committee decided to prioritize areas. That might be a more workable approach. If you started to prioritize, for example, the research issue, we could come back much more quickly. To do it section by section is going to be that horrible Pandora's box. And we're going to need some time to go over the material, probably about 10 working days.

Mr Wood: Mr Chair, it might be helpful to get some general comments early. That doesn't preclude a second meeting where he's going to be able to help us out on some technical matters, which are important, of course, but it seems to me if we had a memo summarizing what we've heard and sat down and took a look at that, we might have some questions about that, and then invite the members to offer their comments on the record. All of that can then go into the ministry and they can take that under advisement as they consider what to do with the bill. I think it might be helpful.

The Chair: What precisely are you proposing, that Mr Jackson be requested to respond to with general comments within the week and then that we meet, or do you propose we have a meeting and we frame the categories that we would like general comments on?

Mr Wood: I think we can wait until he's ready, if that's what the committee feels is appropriate. There are certain dangers to that, so to speak, that we'd have to take into consideration. Or we can meet somewhat earlier. I think the key at this point is to give an indication of what policy directions are deemed to be advisable and not advisable. There may be consensus on some and there may not be consensus on others. I think that's really what's helpful at the moment. My bias would be toward proceeding without full benefit of some of the technical advice from legal counsel, but I'm not strong on that. If people want to wait, that's fine with me.

Mrs McLeod: I think there's a potential consensus between Ms Lankin's and Mr Wood's suggestions. Obviously it's important to have the research officer's summation. I'm impressed at the fact that he can have it done by Monday. I'd just like to recognize that that probably means a great deal of overtime hours in order to produce it, because I don't think he's had a lot more time than we've had to digest this in the heavy hearings we've had. But if that's a reasonable undertaking for him, that would be fine.

As Mr Wood has suggested, I think there would be merit in at least a subcommittee getting together to look at the larger picture, at some of the areas where there is likely to be consensus around amendments to the bill. I say that being mindful of the fact that the ministry indicated in the technical briefing that there were some issues which really would require some political direction and policy direction for them to make the changes. We would obviously need their technical advice, as well as their experience in commenting on those, but I think at one point it was suggested there be a subcommittee meeting with MPPs and with the ministry staff present so there can actually be a dialogue about this, as opposed to a position and another position and another position. I think that could be very helpful.

Ms Lankin: On that basis, let me refine my recommendation and suggest that upon receipt of the research officer's summation of the proceedings, we set aside a time for a subcommittee meeting with ministry staff present and we begin to explore some of the areas and see where there may be a consensus. I think we can decide at that point in time whether or not we see a value in the full committee coming back together and receiving the technical response in any of these areas from the ministry, or whether we see ourselves undertaking a process of discussion about specific amendments and/or whether by that point in time there's a ministerial direction as to the future of this bill.

I think as Mr Wood has indicated in some of his questions, one of the options is a bill that's rewritten to look like the federal legislation, with health imposed on top of it, or do we work with this framework and try and build the federal similarities into it? That's going to take a decision inside the ministry, but that minister's decision might well be informed by the kind of discussion we could have in a subcommittee.

Mr Wood: Another alternative would be to have the subcommittee meet after our meeting today with a view to some prioritization to help the legal people.

Ms Lankin: I'm afraid I'm not available after the meeting today.

The Chair: Might I suggest a compromise, Mr Wood? Since we don't have a full day tomorrow, perhaps we could remain after the last deputation tomorrow to have a brief discussion about setting priorities. Might I also suggest, recognizing two of the three caucuses have caucus meetings in the first part of next week, in deference to Ms McLeod's suggestion that it might be putting a strain on the research officer, perhaps Wednesday morning would be just as good, given that at least two thirds of the caucuses will not be in the building. If that meets with everyone's approval, perhaps we can give you a little more time to refine your work. Might I suggest that next Thursday might also be a day that, depending on what we discuss tomorrow, we could tentatively block off for a-

Mr Wood: I have another committee meeting that day, unless it changes.

The Chair: Then let's just leave it that tomorrow afternoon we'll all come armed with our schedules and hopefully find a mutually convenient date relatively quickly. If I may add, we'll invite the ministry to stick around tomorrow afternoon as well to be part of the dialogue that has to take place.

Mrs McLeod: Are the caucus meetings on Wednesday or earlier in the week?

The Chair: Ours are Monday to Wednesday. I thought yours were-

Mrs McLeod: We had ours. I was here. I ask that only because Wednesday, if we're free, might be an alternate day to meet next week, but if your caucus meeting continues on Wednesday, that's not possible.

PHILIP WYATT

The Chair: We have a deputant here, so we'll take it a little out of sequence, but in deference to the early bird, Mr Philip Wyatt will be our next presenter.

Good afternoon, Mr Wyatt, and welcome to the committee. Just as a matter of course, I don't think you've had a chance to speak to the clerk, so in cases where individuals come before us who may not be familiar with the rules, unlike the groups that tend to be frequent visitors here, for your protection we like to put into the record that while the MPPs themselves may enjoy parliamentary privileges and certain protections pursuant to the Legislative Assembly Act, it's unclear whether or not these privileges and protections extend to witnesses who appear before committees. For example, it may very well be that the testimony you have given or are about to give could be used against you in a legal proceeding. So we caution you to take this into consideration when making any comments. With that, the floor is yours.

Dr Philip Wyatt: Thank you, Mr Chairman. I'm here representing myself as an individual, although I am a physician in Ontario. I'm the chair of one of the departments of genetics in this city. I've served on many ministerial committees regarding consent and confidentiality and I'm a practising geneticist.

Regretfully, I believe the act as proposed should not be supported and needs to be substantially rewritten and revised. I've read many of the comments by other groups and I'm certainly not here to go through it item by item. I don't think there's any point at this time.

There are three points I'd like to address. They're in my letter, but I'll speak to them briefly. Number one, in reading the act I believe the intent of the act actually is to open up files, not to close them down. I'm very concerned that it appears that the intent of the act is to improve management by allowing more access to confidential information than we should permit. It's a philosophical point and I wanted to make sure I had the capacity to address it.

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Second, I note in the compendium they break the type of information down into two types: personal health information and registration information. The difficulty with the registration information in the province of Ontario is, because of the system we have, where you go for care is actually determined by the government to a great deal. That is, we have centres where you go for cancer care, we have centres where you go for addiction care, we have centres where you go for abortion care. Even the compiling of lists regarding registration provides some information regarding health care status. I think that point needs to be reconsidered as the information is looked at.

The third, which was most concerning to me when I read it, is that geneticists-and genetics is becoming more important in modern medical health care and in the entire running of the health care system-deal with information transmitted from generation to generation. Traditionally, health care information has been restricted to the individual or patient who is coming in for access for care. When we're talking about genetic information, we are now at the point where we can take your own genetic material, identify what diseases you may have, may develop and have the risk of developing. By having that knowledge, we have knowledge about your entire family back several generations, and even future generations.

I cannot see in the existing act how the linkage between generations is prevented. I can see that an individual may make a request to, for example, identify all the individuals in 1950 who had the gene test for breast cancer. By having that information, that means I know whose children will develop the disease because I know how many children they may or may not have, and by the way, I may know how their grandchildren will develop the disease. I'm not sure-as a matter of fact, I'm convinced that is not protected in the current legislation proposed. That is, I think the access to genetic information needs to be looked at as this information is re-looked at.

I'll stop there. I really felt so strongly, however, that I felt I should come here as an individual and express the fact that I believe this is a very badly written act and I would hope that you do something to stop it at this point in time for a period.

The Chair: That certainly leaves us time-about a minute and a half-for questioning, unless we are still shy of the next presenter, in which case, I'll be a little indulgent.

Mrs McLeod: Thank you for coming. The whole issue of genetic information, in particular, if I could focus on that. We've only had it raised one other time, by ARCH this morning. The field of research and knowledge is so new that I'm not sure that ideas about how to manage that in terms of health privacy have even been considered yet. Are you aware of any legislation dealing with health privacy and medical records that addresses the issue of genetic information?

Dr Wyatt: The information is actually not new. We've had fairly good genetic information and how to track it through families for quite a long period of time.

Mrs McLeod: So it's more the genome research that's new.

Dr Wyatt: Every time, however, people have looked at linking and protecting confidentiality, we have been assured a system will protect us and we should allow the linkage. This is what was determined in the European countries in the 1930s and 1940s. That didn't work out well. We've had several efforts where governments have assured us that we will not be using this confidential information to start a population screening.

We've failed. Each time this is looked at, people believe that the most important relationship to protect and not violate is the confidential relationship between the individual or the patient and their health care provider. I think that's where it will sit for a while. This is sensitive information that needs to be dealt with on a one-to-one basis and we need to be very careful when we establish systems that break that confidence. This proposed act leads to the potential of breaking that confidence. I've used the example here of a condition called sickle cell disease, but you could substitute any condition you may want. If, in the future, we develop genes that can identify intellectual potential, risk for addiction or risk for alcoholism, do we really want to have the capacity to reach into an individual's file-hopefully blinded-extract that and hold that in some sort of database which may be accessible when the right protections are not in place?

Mrs McLeod: Could I take it a step further? Do you feel that there are some areas of health information which an individual should not be required to provide as a condition of employment or even as a condition of receiving insurance? Respecting the fact that employers need to know about fitness for work, respecting the fact that insurance companies need to know about risk factors, are there some-and I think of it particularly in the area of intergenerational genetic information. Is some of that really not relevant to what the employer or the insurance company has a right to know?

Dr Wyatt: In some cases, the information needs to be very careful before the individual or patient even requests the testing to be carried out. We try to set up a system that involves an informed consent process, where the individual requesting information understands the strengths and weaknesses. I think the concern is if someone identifies that you carry a gene that has potential damaging effects on yourself, your family, your children or your relatives, humans handle that in a very individual way and they may not wish their sister or their brother to find out that they are also at risk. Currently, we transfer the responsibility of the passing of that very unique personal information on a individual-by-individual basis. It's slow. It's sluggish. But it tries to deal with the sensitive nature when you have such enormously impacted information, such unique information.

I can very easily see the proposed act being misused very quickly because of the capacity to mine data, create lists and then be forced with the fact that you've identified a group of individuals who are at 50% risk of passing a disease on to their children and we feel obligated that we must notify the at-risk individuals. I don't want us to get into that position.

Ms Lankin: A really interesting and thought-provoking presentation; a lot of ethical issues down the road that we are going to have to grapple with in many ways. I guess you're just suggesting let's not make them any tougher than they're going to be.

Putting aside the research and mining-of-data aspect of this for a moment, you made a reference to the strength of the system lying in the confidentiality and the relationship between the patient and the health care provider. Some of the representatives of health care providers-and I'm thinking here of the Ontario Medical Association-said very clearly that confidentiality has to be there, the trust has to be built into the relationship and confidentiality is a large part of that.

However, the OMA did also say, though, that if information is to be transferred between health providers for the sake of providing health services, it's the health care provider who should determine what's relevant and what can transferred, and not the patient. This is sort of the backwards way of getting at the issue of the lockbox. Who should have control over that information? You've raised the prospect of genetically inherited diseases. Using that as an example, should someone be compelled to have that information travel along their health record in between providers, or should they be able to withhold that?

Dr Wyatt: You're dealing with the core fundamental philosophical issue: whose information is it? I think in terms of management, it's clear that certain factors should be transferred relatively easily. In other factors, I think that it may be very important that if a woman, for example, had an abortion when she was 17 years old, she may not want to have that information automatically transferred through the system every time she appears in an emergency room or is treated for a flu, the fact that that has appeared.

I think there are mechanisms that you can put in place that say anyone who uses the health care system in Ontario should know up front that we are moving into a system that, if you contact the system, you will have your information transferred unless you opt out. It may be important at every site to have a sign that says, "Part of Ontario's system is the movement of managed information. Do you consent or not consent?" and allow an opt-out right at the beginning. That may control the overall point of view.

I think there may be types of information that you should have, implicit explicit consent by the individual. Examples would be history of addictions, abortions and genetic-based disease testing. I think, personally, that should be left with the individual, not with the system to say, "It's not relevant. I'll just transfer it through; no one will care." We will in the end, and we will regret the fact that up front we are not advising our patients contacting the system that they have the right not to participate in information transfer. One of the most concerning things about the legislation as proposed is that we were apparently putting in steps where we were saying, "Really, we can look after this; they don't have to know that the information is being transferred." I think we should know, as we walk through the door, that this is what we're moving into.

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Mr Wood: Have you had an opportunity to look at the federal privacy act that was recently passed?

Dr Wyatt: I've looked at some of it, not in as much detail as I have the Ontario.

Mr Wood: Have you looked at enough of it to offer any opinions as to whether or not you think it might be a better model than the bill we have before us?

Dr Wyatt: I recognize that at the federal level there were ongoing discussions, that one of the issues they did not properly deal with is genetic information. There are a series of meetings actually going on this month, which I'm attending, about that legislation having some problems with it also. I think overall it has strengths that are slightly better, but it has weaknesses. As I, however, see Canada, we remain a federation, with each province responsible for its own unique needs, and I think we should deal with our own legislation, keeping in mind what the federal individuals are proposing. But really we have a unique system.

Mr Wood: What are the strengths you would see in the federal act?

Dr Wyatt: I'm sorry, I don't have the legislation in front of me, so I can't answer that.

Mr Wood: The use of this information for research: if we're going to have disclosure without consent, it's generally thought there would be an ethics review body to take a look at that. Would you favour, in addition to that, the overlay of a sign-off by, say, the Information and Privacy Commissioner?

Dr Wyatt: The difficulty with utilizing institutional review boards or research ethics boards-and I can say, because I'm the chair of one-is that most of them are unfunded, voluntary and have no idea what they're supposed to do. In addition, a great deal of the research that's going on dealing with confidential patient records is carried out by individuals who are in no way regulated or controlled; that is, one government in this province established what's called the Regulated Health Professions Act, which ensures that people who access records have some degree of professional and I think even monetary responsibility if there's a mistake.

When you're carrying out data mining by the lowest-level researcher in the university, they tend not to understand how confidential and how personal this information is. One of the great difficulties I see-and I've presented a handout from this month's Nature Medicine, where they've already identified I believe over 100 cases where people have violated confidentiality because, since they're only undergraduate students, they really don't understand how sensitive some of this information is. I think that data mining by research is a big area that's very important, but we have a very weak infrastructure to protect ourselves from individuals who are data mining who are not, for the most part, trained health care professionals monitored by colleges with professional responsibilities. If you make an error and you're an undergraduate student in your second year, it's just an error, it's not that big a deal to you. But it could potentially, in the genetic area, ruin families for 10 to 20 generations in the future, and they'll have no recourse. That's what concerns me about the data mining, at least in the genetic areas.

The Chair: Thank you very much for coming before us here today, Doctor.

Again I'll ask if anyone from Zero-Knowledge Systems is in attendance.

MENTAL HEALTH LEGAL COMMITTEE

The Chair: We'll move on to the Mental Health Legal Committee as our next presenter. Good afternoon and welcome to the committee.

Ms Anita Szigeti: My name is Anita Szigeti. I have to say that I'm becoming a bit of a regular visitor here these days. I want to thank you for your time. I'll let you know too that how often I'm coming by these days is alarming to me, because if I'm here, then there is at least some concern that the rights of my clientele, who are psychiatric in-patients by and large, are possibly being eroded by something that's being proposed.

The legal committee I chair works on behalf of consumers of mental health services to protect their legal rights. We have provided to you a very lengthy and very detailed set of comments on Bill 159. It's our position that patients in Ontario's psychiatric facilities have had a legislated right of access to their clinical records and the right to request corrections for almost 13 years, so we come at our comments from that level of experience.

There are certain basic protections in terms of access and disclosure of records that we believe in, which are listed for you in the executive summary, most of which I think are thought to be addressed in Bill 159. However, upon a very careful and exhaustive and exhausting review of the bill, we conclude that our clients are better served by the existing relevant provisions of the Mental Health Act than proposed provisions of PHIPA. I'm sure you've heard this from other organizations. If you've heard from the Psychiatric Patient Advocate Office already-and I'm sorry, I'm not on top of the order of things-then you've probably heard some of these concerns.

I'm not going to trouble you in my oral submissions with any of our concerns relating to disclosure. I'm going to focus on the business of access and certain very specific amendments that would impact my practice and that of my colleagues in terms of representation of these folks at proceedings of the Consent and Capacity Board, things that very much worry me.

Having said that, I think I'll tell you a little anecdote to illustrate for you how I think things should go. Some time ago I was asked to come and represent a client at one our provincial psychiatric facilities, I think maybe the one that's left, or one of the very few. In due course, I phoned ahead and made the appointment to say I was a lawyer coming by to see my client's records. I showed up there, and when I went in I was asked, "What unit?" I gave my client's unit number. They said, "What is your name?" I told them and I spelled it. They checked in the computer. The woman said, "Humph," and she went off. The next woman came and we went through the same thing: I gave a unit number and a name; she looked in the computer. I thought, "They're very well organized here. When you call to say you're coming by, they put your name in the computer and if there's some problem"-eventually the third woman came. She said, "Here to see your records?" I thought, "All right." All of them believed me to be a psychiatric in-patient because it was records access day at the facility; in other words, every Wednesday, all day, for the in-patients of the provincial psych facility who want to come and view their records.

To me, this illustrates how things should go for this clientele. When they feel like it, if it happens to be a Wednesday or on another day, they should be able to come by and access their clinical record. Why? On one occasion, I have a client who's been in for more than 53 years. There's not a lot going on. These folks want to know what's being said about them and they're entitled to know what is said about them. These are very sensitive records. They have every right to see and to ask that corrections be made to these records. It is not always this easy, and I have real concern that provisions in Bill 159 would make this type of easy access to one's own record really difficult for psychiatric in-patients.

Particularly, the ways in which I think our clients are better protected are under the provisions of sections 35 and 36 of the Mental Health Act. My main concern is that whereas now if a physician wants to withhold access to the clinical record of a patient, it is the physician's onus and obligation to apply to the Consent and Capacity Board, as you know, within seven days and make the argument with respect to harm. That is section 36(6) of the act, and those harm criteria are a very high threshold. It's about serious bodily harm to another person or serious mental harm to another person. It also contemplates serious interference with ongoing, real treatment of the individual. That's the way I think things need to stay.

With the changes contemplated in Bill 159, what you get is the prospect of a patient asking to access their own record and 30 days for the initial contemplation of a refusal. Maybe you get that refusal, maybe you don't. If you don't ever get the refusal, then you don't even have a deemed refusal section so that the individual can apply to the commissioner on that. That's very frightening in terms of our clients' right of access.

Plus they need to pay a fee. When you're a psychiatric in-patient and you've got a $112 comfort allowance or personal needs assistance and the public guardian and trustee is managing your money, even a $5 fee is going to be something that's going to be difficult for you to come up with and organize. To go then to the commissioner as opposed to the Consent and Capacity Board, which has the expertise that in my submission is required to look at questions of harm to another individual or interference with treatment to withhold a record, I think is inappropriate. The seven-day deadline that's already in the Mental Health Act is there for a reason: because proceedings of the Consent and Capacity Board must get underway within seven days of the time of an application.

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If we were to lose these protections in the Mental Health Act in terms of access and the decision to withhold those records or not, I think you're going to see a complete bogging down of the process of the Consent and Capacity Board and essentially an abuse of process by patients, who will apply where they otherwise maybe would not have for various proceedings before the Consent and Capacity Board, because if they do that, if the physician wants to withhold their records and makes a statement as to expectation of harm, then at least that issue must be dealt with by the Consent and Capacity Board in a very expedited fashion in order for the rest of the hearing to proceed.

I have a concern about that because that's what I, as counsel, will be left with in terms of advising my client: "Well, you'd better apply. Figure out a reason"-and there will be a reason if someone's in a psychiatric hospital-"to apply to the Consent and Capacity Board to review your involuntary admission or your treatment decision, and then they are the ones who will have to deal with whether access can be withheld from you as opposed to your waiting for the rest of your life for the commissioner to deal with it or for a refusal to come."

Otherwise, the process of the board when there's a hearing that's been scheduled on someone's involuntary admission will be interfered with if we need to wait for another tribunal and another process to determine whether the client can have access to their records for purposes of that hearing on their involuntary admission.

You have to keep in mind that when we talk about psychiatric in-patients and their right to a hearing before the Consent and Capacity Board, you're talking about liberty and trusts that have been infringed, and it's absolutely appalling to contemplate that the individual who goes before the board to litigate these serious issues, to try and get their freedom back or their autonomy to make decisions back, would need to wait longer than the seven days to deal with the issue of access. I'm focusing on that because that, to me, is the single most important issue.

I'm only going to speak for a couple of more minutes and talk to you about the Health Care Consent Act amendment that is proposed, that in my view stems out of what I've just said. I'll tell you from a practice perspective, and this is on page 3 of the executive summary under consequential amendments amending the Health Care Consent Act, right now section 76 of the Health Care Consent Act has a part I and a part II. Part I entitles you to look at evidence that the physician may want to put in at a hearing, and that's sort of due process and common. Part II, though, affords the psychiatric in-patient and her counsel basically an automatic right of access and the right to make photocopies of the entire clinical record at, it currently states, her own expense in preparation for a hearing of the board when capacity is an issue.

This single provision, subsection 76(2), has been the key to effective, competent and timely representation by legal counsel of all psychiatric patients who have an issue that they want to proceed to get reviewed by the Consent and Capacity Board. The amendment that's proposed in Bill 159 would erode what can be read as an absolute right to that access and to the copies because it adds the phrase "subject to subsections 34(5) to (9)" of Bill 159, where a physician may register a statement with respect to harm.

That's hugely problematic for me, because when I now go out to an institution to represent my client I face a lot of barriers already in terms of accessing their record. I'm often told that the client needs to execute a form 14, which is incorrect and a barrier to me because our clients are often paranoid; they don't want to put their name on a piece of paper, on a form 14. That doesn't mean they don't want me to look at their records and represent them competently; they just don't want to sign anything. I often get a lot of trouble about making copies of their records and I'm very often told that it will cost me $300, $400, $500 to get the first 10 or 50 pages of that record. All of these things are barriers that need to be removed and not made more complicated. So I really urge you, if you're going to do this, to preserve the absolute right that I have as counsel to review my client's records in anticipation of a Consent and Capacity Board proceeding and, if at all possible, either remove the phrase "at my own expense or that of my client" or ensure that any capping on fees for photocopying that are contained in the rest of Bill 159 is consistently applied to this section of the amended Health Care Consent Act.

Basically, having said that, our conclusion is that our clients, for a good reason, have enjoyed essentially a Cadillac model of rights protection in terms of disclosure and access to their records, and that's because these are psychiatric records. They are the most sensitive records that an individual can have in terms of health records, and that's because whatever information is contained within records that are compiled in a psychiatric facility will go on with the individual for the rest of their life and potentially cause there to be an involuntary admission, a removal of the right to make your own treatment decisions. Also there's a huge amount of stigma that attaches to the fact of a diagnosis and treatment of a mental disorder.

I appreciate that the thrust behind the bill is to consolidate and unify the way health records are handled in various institutions, but I think there's always been the acknowledgement that mental health records are different, and I see no reason not to continue protecting them that way.

This is the last point. On the same general thrust of things, there is already precedent in the way the Health Care Consent Act and the Mental Health Act are structured, where if you're found not capable with respect to treatment-that's medical treatment-you don't get independent rights advice about your right to apply for a hearing on that. However, if it's psychiatric treatment for a mental disorder and you're a patient within a psychiatric facility, you get the extra protection of rights advice attaching to that.

With respect to the sections that are in Bill 159 about capacity and the review of findings of capacity, I really think it would be a mistake, one that's potentially very tragic, to replace the existing provisions of the Mental Health Act with ones in 159 which don't require rights advice to be provided upon a finding of incapacity with respect to your records.

My suggestion is that you either leave the Mental Health Act alone and let it be paramount over everything else, the way it always has been and continues to be, or you make a stronger effort to import the higher level of protection in the Mental Health Act consistently into Bill 159 into different contexts.

I'm going to stop there, and if that leaves time for questions, I'm delighted.

The Acting Chair (Mr Toby Barrett): Thank you, Ms Szigeti, for your presentation. That would leave just short of two minutes' time for each caucus. Ms Lankin, do you have a comment?

Ms Lankin: Anita, thanks again. Your presentation is informative and helpful and I'll take time to read the more detailed submission that's here.

Yesterday we had a presentation from a law firm which raised an issue-which later was disputed by a number of lawyers, but there you have it, the issue is before us now. They raised an issue we hadn't heard before. It was with respect to the concept of informed consent and presumed capacity. They essentially said that we're not talking about treatment here but the concept of informed consent from the Health Care Consent Act, the real legal meaning about understanding the treatment and the consequences of having the treatment or not having the treatment. It is not reasonable to ask a health care custodian, which may be a hospital, to know what the inevitable consequences or reasonable consequences of consent to disclosing the information may be when it's being disclosed to a third party, or even a doctor if disclosing with a patient's consent to an insurance company to know what the insurance company is actually going to do with it.

They said that there's a difference between informed consent and consent with knowledge, "Give the person all the information," but somehow they made a legal distinction between consent with knowledge and the standard of informed consent.

The other thing they said is that with respect to assessment of capacity, the capacity to understand the consequences of giving consent to a treatment, as assessed by a health care practitioner, is totally different than the capacity to give consent for disclosure of information, and that again it's unreasonable for a health care custodian, who may well not be a health care practitioner-it could be a community care access centre, a district health council-to have placed on them the burden of determining whether that person actually is capable and what is the capacity test. I got sort of blown out of the water on that because those words are so used in the health care system, and in mental health, with respect to disclosure of records and everything, they're used. But in general, outside of mental health, in the rest of the health care system, we have not tested these standards. Do you have any comments about that?

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Ms Szigeti: I have two comments. One, the Mental Health Act historically has placed the obligation on the health care practitioner to make these determinations in terms of capacity to consent to or refuse disclosure of your record, and also in terms of the capacity assessment.

Ms Lankin: Practitioner versus health care information custodian?

Ms Szigeti: That's right, because in the Mental Health Act you're talking about a physician who is also more than likely the individual providing the treatment, not on the facility, and that's fair.

In our paper we suggest that the optimally perfect thing to do, if you're talking about capacity assessment with respect to something esoteric like the notion of disclosure of your health records, is set up a category of individuals who are capacity assessors for this purpose, or somehow provide training to capacity assessors already established through the Substitute Decisions Act to come in and make a specific determination about the specific capacity issue.

Having said that, it can be such a big deal. If you know what's in the records and you're able to say, in our context, to someone, "Look, we've given you a diagnosis of schizophrenia and when we disclose this record to another provider somewhere, they will approach you based on that basis. If we don't provide this record, they may not have that diagnosis." Those are some of the types of consequences.

Whether I would draw a distinction between informed consent versus consent with knowledge, I'm not sure. If the concern that was raised yesterday is that the person giving the information may not themselves fully understand the ramifications, then how are they getting full information such that consent with knowledge can then be obtained? I don't actually see a meaningful distinction there. I don't know if that's of any assistance at all.

Mr Wood: I wondered if I might ask your opinion with respect to fees. One suggestion we've heard is that the fees should reflect no more than the actual cost of providing the information. What is your reaction to that possibility?

Ms Szigeti: My reaction is that in the context that I'm concerned about, which is getting copies of records when I'm trying to assist a client in a seven-day time frame to turn things around for a hearing, I don't believe I should be charged anything. But having said that, the types of costs hospitals charge in using the photocopy room as a profit centre that may be appropriate for lawyers to come and get access to records in a personal injury lawsuit are not appropriate in some other context. Fees that commence with $150, $200, $300 for the first 10 pages are wrong. I don't know what the actual cost is and I don't know how that would be determined, but if you look at a 10-cent-per-page cost, that's a nominal cost that most people would be willing to pay, and I don't really want to put a figure on that.

I think the most important thing would be to have flexibility, which there is in Bill 159 in terms of waiving the fee where it seems appropriate. But what I would like to see is a mechanism to appeal that decision-for instance, not to waive the fee to a psychiatric in-patient such as my client-to the commissioner if a decision is made that no discretion will be exercised to waive a fee. If it's a substantial fee, then I would like to be able to appeal that decision so that my client, who has very limited resources, doesn't end up paying out of pocket. But actual cost for photocopying is better than what is currently the practice. So if I had to, I would support that.

Mr Wood: To allow an appeal, the cost of the appeal would be greater than the cost of the photocopying, wouldn't it?

Ms Szigeti: I don't know. I'm accustomed to a $5 freedom of information search fee, so that's the kind of things I would think about. Would the out-of-pocket costs of the appeal be more? I guess it all depends on whether or not our provincial legal aid system were kind enough to fund services for that type of appeal.

Mr Wood: That's what I'm saying. In actual fact, the cost of the appeal would be far in excess of the cost of the copying, wouldn't it?

Ms Szigeti: I suppose the cost of defending that appeal might outweigh the cost that you're forgoing in place of recovering the photocopies. So it would work both ways, would it not?

Mr Wood: I guess what I'm trying to say is, would we not be over-judicializing if we allowed an appeal for the cost of copying?

Ms Szigeti: I think it would only take one good appeal to set the standard. You'd then wave the case around for people, and my hope would be that at that point there would be a working relationship between the health information custodian and the subject of the information. So it wouldn't happen.

If it can be stipulated in regulations that there are certain situations where no fee is appropriately charged, that would really be my preference. My clients' legal issues, in terms of the relationship of those issues to their involuntary hospitalization, would be the types of issues I'd like to see not burdened by negotiations around costs of photocopying.

Mrs McLeod: I know you were focusing on access but you extensively discussed disclosure as well in your brief and, for the record, I want you to comment on it. Your perspective, as you've set it out in your brief, and a perspective that was provided to us this morning by the Centre for Addiction and Mental Health commenting on section 33, suggesting that it be expanded somewhat to deal with risks to the individual by being able to provide health information to community care providers; the concern being the individual who is discharged from a psychiatric institution or perhaps from a jail. I've used the example of cases we've dealt with of someone literally put on a bus in order to find his way to a hospital and not being able to do that. That is a much broader aspect of disclosure, because you've said here that the disclosure should only be where there is risk to an individual other than that individual.

Ms Szigeti: Right. So the question is, should there be disclosure without consent based on the potential for harm to the individual if the individual fails to give their consent, as opposed to based on harm to others? Is that the question?

Mrs McLeod: Exactly. I think you've it addressed in your brief. But I wanted you to comment on the recommendation we had this morning that we need to be able to provide community support to somebody who is being discharged.

Ms Szigeti: Throughout our brief we're consistent in this. I think it all depends on capacity. The simple fact is, capable people have the right to risk and incapable people have the right to have informed decisions made on their behalf. So I would not support the notion of disclosure without consent in respect of records of an individual who is otherwise considered capable of giving that consent. I think that violates some very basic tenets.

Mrs McLeod: Presumably you'd like to think that if they're not considered capable of giving consent, they're also not being put on a bus on their own.

Ms Szigeti: I don't know if I can comment on that, but I would certainly say if they are considered not capable with respect to that consent about their records there is a substitute decision-making regime both in Bill 159 and in the Mental Health Act, if you leave it alone, and that ought to work fine, at least in theory.

The Acting Chair: Thank you, Ms Szigeti.

Is there a representative here from Zero-Knowledge systems?

COLLEGE OF DIETITIANS OF ONTARIO

The Acting Chair: We are running a little ahead of schedule. I wonder if we could move down to the College of Dietitians of Ontario, if you could approach the witness table. Good afternoon. We would ask if you could identify yourselves for members of the committee.

Ms Shirley Lee: Good afternoon. We're here to present on behalf of the College of Dietitians of Ontario. I'm Shirley Lee, registrar of the College of Dietitians of Ontario. With me is Mr David Buell, who is a public appointee on the council of the college.

Due to time constraints, we will not be speaking on all the issues that are in the written submission before you.

First of all, I would like to tell you a little bit about the college. The College of Dietitians of Ontario is one of 21 regulatory health colleges. It was established on December 31, 1993. The college presently regulates approximately 2,200 dietitians whose practices focus on health promotion as well the treatment and prevention of diseases using nutritional means. Dietitians practise in many different settings, including home care, hospitals, long-term-care facilities and public health units, just to name a few.

The primary duty of the college is to protect the safety and interests of the public. The college fulfills this duty under a group of statutes that includes the Regulated Health Professions Act, 1991, usually referred to as the RHPA; the Health Professions Procedural Code, which is schedule 2 to the RHPA; and the Dietetics Act, 1991. The RHPA and the code apply to all 21 regulated health colleges.

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The statutory functions of the college include: establishing and enforcing standards for issuing certificates of registration to dietitians; establishing standards for professional practice and conduct for its members; investigating and holding hearings on allegations of professional misconduct, incompetence or incapacity in order to make appropriate findings and assess appropriate penalties; and last, not the least, developing and implementing programs to promote continuing competence among its members.

The college commends the Ministry of Health and Long-Term Care for its efforts in developing privacy rules for the health sector. The college recognizes that this is a complex piece of legislation and that the ministry has had two previous consultations with its stakeholders on this topic. The college has participated in those consultations. The college agrees with the principles of this piece of legislation, which appear to be consistent with the intent of the privacy provisions in the RHPA. These principles are also consistent with the college's expectations of its members regarding the handling of patient health records.

After reviewing the PHIPA, the college is concerned that many provisions of the PHIPA may not apply well to the colleges. First of all, health regulatory colleges are fundamentally different from individuals and other organizations that have been classified as health information custodians in the PHIPA. Colleges do not provide health care services nor do they directly collect health information to create personal health records. Colleges collect health information from health practitioners and health care facilities in order to perform their regulatory functions, including investigating complaints and, when appropriate, holding disciplinary or fitness-to-practise hearings on allegations of professional misconduct, incompetence or incapacity.

We believe that the college has an obligation to protect the confidentiality of personal health information that is in the college's possession. Colleges are already subject to strict privacy provisions in the RHPA. With the exception of a few very specific circumstances, section 36(1) of the RHPA requires every council member, committee member, staff, consultant, legal counsel and volunteer to preserve secrecy with all information that comes to his or her knowledge during the course of the duty, with the exception that the information can only be used in the administration of the RHPA. This provision applies to personal health information as well. A breach of this privacy provision is punishable by a fine of up to $25,000.

The college is concerned that the PHIPA may impair its ability to protect the public. The college recognizes the effort that has been made to address some of these concerns that we have expressed in previous consultations. However, conflicts between provisions of the PHIPA and provisions of the RHPA still exist. These inconsistencies will make it difficult for colleges to enforce its standards and hold its members accountable for their actions. For this reason, the college recommends that the health regulatory colleges be exempt in part by regulation from being classified as personal health information custodians. We have made some suggestions on specific wording, but I'm not going to go over it verbally.

As indicated earlier, there appear to be inconsistencies between PHIPA and the RHPA, and I would like to provide some examples. The first example is the conflict between the disclosure provision of the PHIPA, section 36(1) and the power of the investigator under the RHPA, sections 76 and 78. According to section 36(1) of PHIPA, the disclosure of personal health information by a health information custodian to a college appears to be discretionary. This would seem to be in conflict with sections 76 and 78 of the RHPA, which authorize investigators appointed by the college to enter business premises of a member and review, remove and/or copy documents, including personal health information documents, without consent.

If the PHIPA overrides the RHPA, a health information custodian may refuse to disclose health information records to an investigator appointed by the college, which would make it difficult for the college to conduct investigations or hearings. This may pose significant risks to the public, particularly when the investigation involves sexual abuse of patients or gross incompetence of a regulated health professional.

In addition, section 11 of the PHIPA stipulates that the PHIPA prevails over other acts where there is conflict in provisions respecting confidentiality. This contradicts section 76(4) of the Regulated Health Professions Act, which also stipulates that the section relating to the power of the investigator applies, despite any provision in any act relating to the confidentiality of health records. So which one prevails over which one?

Another example of conflict relates to the reporting provision in the PHIPA and the mandatory reporting provisions in the RHPA. There are two mandatory reporting provisions in the Health Professions Procedural Code, schedule 2 to the RHPA. Under section 85.1, regulated health professionals must report the sexual abuse of patients by any regulated health professional to the appropriate college. Section 85.5 makes it mandatory for employers to report the termination of a regulated health professional for reasons of professional misconduct, incompetence or incapacity. These mandatory provisions aim at reducing risks to the safety of the public. However, under section 33 of PHIPA, the disclosure of health information by a health information custodian for the purpose of eliminating risk to an individual's safety appears to be discretionary. Since the proposed PHIPA is supposed to override the RHPA, an individual may choose not to report sexual abuse of patients by health professionals and they may choose not to report terminations related to professional misconduct or incompetence.

There also appears to be a conflict between section 24(2) of PHIPA and the investigative and disciplinary roles of the college under the RHPA. Section 24(2) of the PHIPA requires health information custodians to make reasonable effort to ensure that the health information is accurate, complete and not misleading before using or disclosing it. This provision appears to be in conflict with the role of the college. Under the RHPA, every college is required to investigate allegations of professional misconduct, incompetence or incapacity. Incomplete, inaccurate or misleading patient health records are often collected as evidence. To fulfill its role, the college is obliged to collect the health information as it exists, even if it is incomplete, inaccurate or misleading. Such information may be crucial for proving the guilt of the member and for taking disciplinary actions against the member. As these inconsistencies may make it difficult for the college to carry out its mandated function, the college recommends that section 11 of PHIPA be amended so that where there is conflict between PHIPA and the Regulated Health Professions Act, the Regulated Health Professions Act should prevail.

Having pointed out some discrepancies between the PHIPA and the RHPA, I would like to make some comments on an excellent provision relating to the promotion of quality-of-care information in the PHIPA. One very important and proactive function of the college is the development and implementation of quality assurance programs that require participation of all members. The purpose of such programs is to ensure that regulated health professionals continue to maintain and improve their competence to practise. These quality assurance programs usually require members to assess their own competence and to take actions to address any identified need. Members are also required to provide information relating to their QA activities to the college.

If we want members to participate in these QA programs in a meaningful and candid way, members must be assured that QA information, whether it is in the possession of the college or the member, will be kept confidential and will not be admissible at proceedings. Some short-term measures were introduced to provide protection until the PHIPA could be enacted. However, the protection in the PHIPA is broader than the interim measures provided in the Health Professions Procedural Code. First, all information gathered for QA purposes is covered, not just the information about the member. The information is protected from disclosure in pre-trial discoveries, not just, as might be the case now, at the hearing itself. There is protection for civil liability given to those who provide the information, not just to those who gather and use it.

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In sections 40 to 43 of PHIPA, the protection of QA information appears to be limited to quality of care committees of hospitals. This college believes that the college's QA activities would be more effective if they were covered by the protection provision under section 40 of PHIPA. For these reasons, the college recommends that section 40 of PHIPA be amended so that the definition of "committee" includes the quality assurance committees of colleges.

Our last recommendation relates to the Business Corporations Act. Bill 152, the recent proposed amendment to the Business Corporations Act, if passed, will allow regulated health professionals to incorporate their practices. These health professional corporations would most likely collect and use personal health information. To ensure that the privacy of such information is protected, health professional corporations must be subject to PHIPA.

We recommend that if Bill 152 is passed, section 2 of PHIPA should be amended to include in the definition of "health information custodian" professional corporations owned by regulated health professionals under Bill 152.

I would like to thank the standing committee for the opportunity to provide comments from the college, and we request that our recommendations be considered and adopted. We would be pleased to answer any questions that you may have.

The Acting Chair: That leaves two minutes for each caucus, and we will begin with the government members.

Mr Wood: Do you have the power to subpoena records?

Ms Lee: At a hearing.

Mr Wood: Do you have the power to do that during the course of your investigation?

Ms Lee: During the course of investigation, an investigator appointed by the college right now would have the right to enter the premises, usually with a warrant, and to take any evidence, copy any information or remove any objects that are relevant. Right now, in RHPA, the wording is such that people are required to comply.

Mr Wood: The warrant comes from whom?

Ms Lee: We would have to apply for it, but it is not a must. As the Health Professions Procedural Code stands, the investigator has that authority with or without a warrant. What we are saying is that the provision in PHIPA may dilute that power.

Mr Wood: Suppose we were to say, for the sake of argument-I'm not saying we're going to do this-"We'll accept your submissions to take you out of PHIPA and leave you in the Regulated Health Professions Act, but if you want to get a record of somebody, you've got to get a search warrant to do that," would you have a problem with that?

Ms Lee: We are working under that right now. I just want to clarify that when we say we'd like to be exempt in part from being health care custodians, we're not saying one way. There are many different ways of doing it. We may not have to be taken out totally, but what we are pointing out is that as it stands now, many areas do not work, many provisions do not work. We've suggested one way of doing it but there are many different ways, and we are not suggesting that the only way is to take us out totally.

Mr Wood: We understand the concern. I'm saying if, for example, we were to meet that concern and say to you, "All right, if you want to have access to a health record, you have to get a search warrant from a court before you can do that," could you continue your work under a regime of that nature?

Ms Lee: I can't answer that question without consulting our legal counsel, because I don't want a situation where we cure one problem and create another problem. So I have to say I cannot answer that question at this point.

Mr Wood: If you have a chance to consult with your legal counsel and give us the answer to that, that would be helpful, to myself at least and perhaps to the committee and the ministry.

Ms Lee: Sure.

Mrs McLeod: I'm one of the ones who has been persuaded by the effective representation of the regulated colleges that we have to make some changes. One of the directions that we've been at least discussing around the table is the exclusion that's been recommended, but as well to specifically recognize the Regulated Health Professions Act in terms of the protection of your ability to carry out your regulatory duties. One of the questions we've been posing back to people is what would be missing if we went as simple a route as that. You pointed out a couple of things in your brief that would probably need to be added to the Regulated Health Professions Act if in fact you were not to be included in Bill 159.

I also appreciate that you are the first ones, I think, who have recognized this issue of the incorporation and the Business Corporations Act. I guess that could be covered under Bill 159, it could be made to apply to Bill 159 without having to be under companion legislation that deals with the commercial sector. Would that be your sense of it?

Ms Lee: I will leave it up to the legal experts to deal with that.

Ms Lankin: Thank you for your presentation. I have one quick question. With respect to incorporated health care practices, could you tell me why it is you think the bill, as it stands, wouldn't cover them? You are talking about practices that are owned by members of regulated health professions and they fall under the definition of health practitioner, which falls under the inclusion of being a health information custodian.

Ms Lee: From my limited understanding-and I would have to check with legal counsel-once there's an incorporation, the corporation itself is a separate legal entity from the practitioner. That's why we felt it is important to make sure that's there, so there's no misunderstanding, no vagueness in it.

Ms Lankin: It would be interesting to have your legal counsel's views on that.

Ms Lee: This is actually recommended by our legal counsel, that it should be-

Ms Lankin: I'd appreciate getting a bit more background. Here's the nature of my query: if the regulated health professional is de facto a health information custodian, because they are collecting and using and disclosing for the purposes of giving health treatment, of providing health care, why would the corporation as a separate entity also need to be covered, and do we run into problems then in terms of transfer of information? I can't understand why the entity would have access to that information.

Ms Lee: From my understanding, the proposed amendments allow the corporation to have multiple practitioners, more than one practitioner. So it would be clear, rather than-

Ms Lankin: So each one of them would be a health information custodian under the act as it is.

Ms Lee: Right.

The Chair: Thank you very much for appearing before us today.

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CANADIAN LIFE AND HEALTH INSURANCE ASSOCIATION

The Chair: Our next presentation will be from the Canadian Life and Health Insurance Association. Good afternoon and welcome to the committee.

Mr Charlie Black: Thank you, Mr Chairman. My name is Charlie Black. I am the senior assistant of insurance operations for the Canadian Life and Health Insurance Association. I'm very pleased to spend a few moments with you this afternoon to make some comments on Bill 159 and to express several concerns that our association has, based on our review of the proposed legislation and on our experience over quite a number of years with regard to similar legislation such as the federal Bill C-6 and with other issues in the protection of personal information.

The Canadian Life and Health Insurance Association is the industry association or trade association representing most of the life and health insurers that are active in Canada. We have approximately 75 members who account for about 90% of the life and health insurance business in effect in Canada.

Life and health insurers, and the provision of those services, are not typically regarded as being part of the health care sector, although in some ways we are very close to being part of that sector in the course of paying or reimbursing the costs of some health care services that are not covered under the Ontario health insurance plan or similar provincial programs, and also in providing disability benefits to meet some of the financial implications of serious illness or injury.

As we understand the legislation, it is essentially a sectoral code or piece of legislation focused on certain designated entities within the health care sector, and life and health insurance companies would not be directly affected by the legislation as proposed currently. In 1997, with the consultation paper that was released by the ministry at that point-of course that was in the days before Bill C-6-insurers and some other third parties were included as health information custodians. We believe the current approach is appropriate in current circumstances and is also consistent with the other provinces-Manitoba, Saskatchewan and Alberta-that have legislated in this area.

In spite of the fact that insurers would not be directly affected by the legislation, our activities in providing life and health insurance to Canadians are very closely interrelated with the health care sector and information flows with great frequency between the two sectors. And I would emphasize that that is a two-way flow, although personal health information and other personal information is essential for the conduct and provision of voluntary insurance services.

There are three main activities of our industry that relate to this area. One-and by far the highest volume of activity-is in the payment or reimbursement of the costs of certain health care services, coordinating and supplementing the provision that is made under OHIP and other provincial programs. Primarily these involve the costs of prescription drugs for individuals who do not qualify under the Ontario drug program, the costs of dental services, some hospital charges for semi-private accommodation etc, some ambulance services, health care costs incurred outside Canada and so on-a fairly long list. As I say, these are fairly high-volume, and probably in the few minutes we spend together this afternoon in the order of 8,000 to 10,000 claims will be processed in Canada, approximately 40% of that in Ontario, for the costs of health care services. So it is a high-volume area.

The second area where personal health information is essential, as I referred to earlier, is in the assessment of claims for disability benefits when someone is unable to work because of an illness or an accident-again provision of benefits in a complex system. In other situations, benefits may be available under WSIB, from Canada pension, from employment insurance, from auto insurance no-fault benefits and so on, but the provision of disability income replacement benefits is a very important service and a very important benefit to individuals who suffer a serious health problem.

The third area that is very significant is in the evaluation of risk when someone applies for insurance. Under a strongly voluntary life and health insurance system that involves a wide range of choice to individuals, it is essential to review information on the risk that individual represents when he or she applies for insurance, and personal health information is a key part of that assessment. Recognizing the importance, indeed the essential nature, of personal information for the provision of life and health insurance, our member companies have recognized for many years the importance of protecting the confidentiality of that information. The written submission that I have provided to you, and I apologize that I was not able to get that to you earlier, outlines a number of the activities that our industry has been engaged in over an extensive period of time.

For example, in 1980, 21 years ago, our industry, as far as we know, was the first industry to adopt a privacy code, what we refer to as our "right to privacy" guidelines. Those guidelines were presented to Mr Justice Horace Krever when he was conducting his extensive survey of the confidentiality of health information in Ontario, and he included those principles or those guidelines in his report and commented favourably on them. They have been revised periodically, most recently in 1993. We should have revised them more recently, but frankly there is so much happening with the development of the CSA code, which is very similar to the industry guidelines, and with the development of Bill C-6 that we are focusing our attention on those issues rather than on what we consider might be spinning wheels at this point in time in terms of making slight amendments to our industry guidelines.

We have also been involved-and I'm just highlighting a couple of the items in the written submission-over the years in extensive discussions with the Ministry of Health, as they have dealt for many years with the development of legislation such as you have before you to protect the personal health information of residents of Ontario.

Given this history, I don't think it would be any surprise that we very strongly endorse the objectives of this legislation. We strongly endorse the principles that underlie the legislation, although, as you'll note in the written material, we do urge that these principles be set out somewhat more explicitly and in a more consistent manner with the way in which such principles are presented in other legislation.

We have reviewed some aspects of the legislation. It is a complex piece of legislation. Our assessment is that it reflects many years of effort, many years of expertise, and that it is essentially a sound and thorough document. However, as we review the material and look at it in the light of current aspects in the protection of personal information, we do have some concerns that it does not adequately reflect the most recent developments, particularly the implementation of the federal legislation, Bill C-6, which will apply to virtually all activities in our industry and in many organizations in the province, and the proposals for an Ontario privacy act that would similarly have very broad application to those activities. We do have some concern about the lack or apparent lack of harmonization in a few respects-not extensively but in a few respects. It appears that there is not adequate harmonization between this legislation and the federal legislation.

Incidentally, I have noted many of the comments your committee has heard regarding the importance of a substantially similar designation under C-6. Our assessment of that provision under C-6 is that even if legislation such as Bill 159 or the Ontario privacy act were deemed substantially similar, many organizations such as life and health insurers would continue to be subject to C-6 as well as the other legislation. There would be potential overlap, potential duplication, and thus the need for harmonization is critical. That is the key issue or concern that we have in terms of looking at this legislation.

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We are also concerned, or maybe the word is "confused," about the status of health professionals who are employed or engaged on a part-time basis by insurance companies and by other organizations to provide their expertise in the area of health care but not to provide health care to individuals. For example, most life and health insurers do have medical staff, do have trained nurses or physiotherapists engaged in assisting and developing programs to help an individual return to work. In that capacity, those individuals are not providing health care to the individual. They are not in custody of the information; the insurer is. Thus, we feel that there should be an exception for those individuals, that they should not be considered to be health information custodians while engaged in those activities and that there should be another provision added to Bill 159 comparable to, I believe, subsection 2(3), that currently deals with a similar situation where someone is acting in a similar capacity with an organization that is subject to the Freedom of Information and Protection of Privacy Act.

Also, just moving very quickly, we do have some concern about the comprehensiveness of this legislation. In our view, it would not protect certain information in the health care sector if that information is not viewed as being personal health information. This is of particular concern to us because, in some instances, that information could be information that is collected from life and health insurers. In the submission I mention that details on an individual's insurance coverage might provide information that that individual is eligible for reimbursement of a drug claim or a dental claim because he or she is a dependant of another individual. That, by itself, would disclose information on the relationship between those two individuals. In our view, that information, in many cases, would be sensitive, perhaps extremely sensitive. We believe it should be protected in some way through privacy legislation, particularly given the uncertainties regarding the application of Bill C-6 to the health care sector. It appears that if any activities are deemed to be non-commercial, then C-6 would not protect that information either. So we wanted to draw that to the committee's attention and to urge that consideration be given to broadening the comprehensiveness of legislation such as this. Or I guess our overall preference would be to combine it with the proposed Ontario privacy act and have a single piece of legislation that would set forth general rules and would also set out specific provisions that would be necessary for protection of personal health information.

Mr Chair and members, that is a very quick summary of our comments on the legislation. I appreciate this opportunity to meet with you, and I will try to respond to any questions you have, either now or subsequently.

The Chair: Thank you very much. That leaves us that awkward amount of time. Dare I try and divide it amongst three colleagues? We've got about four and a half minutes, so I can ask for a minute and a half from each.

Mrs Pupatello: Thank you for coming today. I understand that some of your member companies have been involved in list collection and/or purchase of lists or selling of lists. Much of it may have to do with research that these companies would engage in to determine outcomes to actuary-type work etc. When that happens, give me a typical follow-through of data that's collected and then used for those purposes, or when lists might be sold to interested parties, that they would be cleansed in what manner, if at all.

Mr Black: I apologize, but I'm not aware of any instances where lists of individuals are sold by our industry. We have a condition in our consumer code of ethics and commitment to comply with that consumer code is a condition of membership in CLHIA. That provision is quoted in the submission but I think the words are "to protect personal information and to use it only for the purposes for which it has been submitted." Insurance services are offered in some cases to members of an association or members of a defined group. In that case, generally speaking, our companies would not buy the list; they would work with the association and make available a mailing or an offering that could then be sent by that association, for example, to the alumni of the University of Western Ontario, as I sometimes receive. But I'm not aware of the sale in any instance of lists of individuals.

Ms Lankin: A quick comment and then a question. We did hear earlier this week from an individual who saw a doctor who fraudulently billed OHIP for services that were not provided to that patient. A number of people in that community were in the same situation. One of the individuals told a press conference about subsequently being denied continuation of his insurance policy. It could be coincidental, but nothing else happened in his life, other than some knowledge of psychotherapy, alcoholism and other things being reported on his OHIP record which were untrue.

Is there anything in your industry that goes on where the industry attempts to get access to that kind of information from doctors' records or OHIP records? That leads to the concern a number of people have raised that we should be looking at legislation that regulates health information irrespective of where it is, instead of regulating the control and access and disclosure of the information by the health sector. Some people are urging us to include your sector under this legislation and to actually regulate the protection of health information wherever it falls in society. Could you respond?

Mr Black: I will try, although that is a rather complex area. It's difficult to comment on the first instance without knowing the full details of that. There are situations when someone applies for insurance or someone applies for benefits whereby confirmation of information obtained from that individual may be sought from an attending physician or a hospital where the individual has received certain services etc. But other than that, information would not typically be sought from the health care providers.

I'm sorry. What was the second area?

Ms Lankin: The legislation as it's now drafted applies to the sector. Some people are saying, "No. Write legislation that protects information wherever it is in society."

Mr Black: It's a very complicated issue, and this is the sort of question that led to our comment that we feel the legislation should be updated and should be carefully reviewed to ensure that it affects recent developments.

Bill C-6 will apply to all activities within our industry, we're convinced, whether it's personal health information or other personal information. There is provision for sectoral rules. There are uncertainties under C-6 as to whether it does apply to the health care sector, and to what extent, and thus we feel Bill 159 is essential to fill that gap.

I hope the information indicates that we are committed to the protection of personal information, all personal information in all sectors, public and private. Our preference would be for a single legislative approach that would address all information in all sectors. That is not possible in the current environment in Canada. We believe the sectoral focus of this legislation is appropriate and that any issues regarding any type of health information should be covered within the health care sector, and also that for any type of information where controls are necessary, those should be provided under either the federal legislation, as they are, or under Quebec's legislation, which has been in effect for six years now, or under the Ontario privacy act that we fully expect to probably be back here speaking with you on in a few months' time.

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Mr Wood: Have you had an opportunity to address your mind to the question of informed consent, which is required in the draft act, rather than the test of just consent?

Mr Black: The area of consent is a very perplexing one. I had the opportunity-and I stress the word "opportunity"-to work with representatives from various sectors, including an employee of the Ontario government, as the CSA code was being developed, and in particular to chair a subcommittee that looked at the broad issue of consent. Our feeling there was that the nature of consent varies considerably, and in our view appropriately so, in different areas.

For example, in the area of health insurance, I'm not quite sure what word to use, but it's not implied consent; it's more than implied consent-

Mr Wood: No, I'm talking about informed consent.

The Chair: Mr Wood, we've run out of time.

Mr Wood: I'm not over my minute and a half?

The Chair: Actually, we are.

Mr Wood: Not by my watch.

Mr Black: We strongly support informed consent, and certainly the openness provision in Bill C-6 I regard as being extremely important, that information would be available to individuals on what is done with information.

I just wanted to mention that in the health care sector a very common situation is that someone walks into a drugstore, presents either a paper card or a plastic card to the druggist, and walks out with a prescription. The druggist enters that information into the computer, the information is transmitted to the insurer, and the pharmacist's bill is paid. There is no signature; there is no explicit consent in that sense. So there are various forms of consent. I fully agree there should be adequate and indeed superfluous information available to an individual to know what is done with his or her information before he or she provides consent.

The Chair: Thank you very much. We appreciate you taking the time to come before us here today.

COLLEGE OF OCCUPATIONAL THERAPISTS OF ONTARIO

The Chair: Our next presentation will be from the College of Occupational Therapists of Ontario. Good afternoon and welcome to the committee.

Ms Jan Robinson: Thank you. Members of the committee, good afternoon. My name is Jan Robinson. I'm registrar for the College of Occupational Therapists of Ontario, and I'm representing both the college and the council of the college. We're really pleased to be here and to have an opportunity to bring our perspectives to you.

You have a copy of our written response. Just by way of background, our college regulates around 3,500 occupational therapists in the province. Occupational therapists practise in a wide variety of health-related settings, both publicly and privately funded. Those settings include hospitals, CCACs, community area clinics, schools, employment settings, industry, health planning and health promotion, a very broad spectrum, and also include assisting individuals of all ages, from neonatal to elderly individuals, in all stages of life related to health service care under occupational therapy.

I really wanted to just focus on two particular areas today in my time with you and emphasize some of our points in that regard. I know that you've heard from many of my colleagues over the course of the last few days, and as well in particular from the Federation of Health Regulatory Colleges of Ontario. I just wanted to emphasize that we were participants in the development of that particular position and certainly have signed on to the position of the federation.

Our remarks are also based on the fact that we support the intent of protection of the privacy of health information and we believe this discussion to be really critical to the public interest.

Our first area of concern is what appears to be the blanket inclusion of health colleges as health care custodians. Our concern is that there appears to be a lack of appreciation of how colleges use health information and use the information they receive. As a result, the proposed act inadvertently throws a wrench into components of our mandate. The college certainly does receive and review health information internally. The purpose, however, of that information is not the management, manipulation or disclosure of the information. The purpose is rather as evidence in a variety of ways to assist in examining an occupational therapist's practice. We don't generate health information.

The rules in the RHPA speak very clearly to the sensitivity of the information that we receive. Certainly there are confidentiality provisions within that which we need to work with, and to the highest regard.

Our fear is that the broad inclusion of colleges as health care custodians serves to clash one public interest mandate with another. I just wanted to provide you with examples of where we're coming from around that particular issue. In particular, they're related to mandatory reporting provisions of the RHPA.

I'm sure by now you're familiar that there are two particular ways to mandatorily report under the RHPA. One is through employer reports. That is the situation where an individual may be discharged from their particular practice related to their competency or issues related to their performance. The second is sexual abuse mandatory reports, which of course are quite egregious. I know that you're probably also aware that there was an awful lot of time and energy in the late 1980s and early 1990s around whether or not a mandatory provision was necessary for sexual abuse reporting. In fact, the evidence was overwhelming that that needed to occur.

I'd like to point out that our mandatory reports, although they are fewer in number than the complaints to the college by far, are some of our most critical investigations. They're some of the most critical that we do. They are our most complex by far. They are certainly our most challenging by far. They are also the ones that reveal for us some of the greatest substandard care that we have to investigate and look after and deal with. The majority of our referrals to discipline, actually, come from our executive committee related to mandatory reports.

It would appear, however, that section 34(1)(b) under the proposed act, where the clauses are permissive about the release of information, in fact shields an individual from reporting where otherwise they'd be required to do so under the RHPA. Again, our position is that the RHPA is about the public interest and about protection of the public interest. So the influence of the PHIPA on our inability to then maintain that mandate is of concern to us, and the issue of paramountcy, we believe, needs to be addressed.

Our role, very specifically, is about safe, ethical and effective occupational therapy practice in this province. Where elements of the health care custodian role impair this mandate, we believe changes are necessary. Not dissimilar to some of my colleagues, we would see this accomplished either by exemption from the health care custodian role via regulation or, at the very least, a look at partial exemption around some of these key roles that we have concerns about, and further, assuring that the paramountcy of the RHPA to the PHIPA, where necessary, is taken into account.

Secondly, the piece that I wanted to raise has to do with our registrants and the ability of the college to guide and regulate registrants. Currently, as a regulatory college, we put out an awful lot of material related to guidance around health information already. We have specific guidance related to informed choice and consent, release of documents, confidentiality, security of records etc. So there's a fair amount of information already there. Further, when we look at our trends related to complaints, mandatory reports and, in particular, the practice advice calls that the college receives, although the majority of our practice advice calls are from registrants, we receive them from the public as well. I must tell you that those calls, particularly from the public, tend to come from individuals dealing with health care providers in the private sector, and their concern very often is about release, access and use of their data within that particular sector.

We're very concerned that this proposed act has deliberately excluded the insurance sector as a custodian. When I'm talking about the insurance sector what I mean is auto insurance and the health and life side of insurance, and I also refer to the Workplace Safety and Insurance Board. Our belief is that the result of this exclusion really skews the management of health information and could skew the management in many ways. We do acknowledge and certainly understand that this sector will be covered under commercial privacy legislation, but our understanding is that this government chose to introduce separate health information privacy legislation because it was not satisfactorily managed by other bills, such as Bill C-6. We also acknowledge that bills similar to Bill C-6, whether they be federal or whether they be provincial, are not set out with health interests in mind. Their interests are business and commercial. So we would suggest that if the government believes that information needs to be protected, it needs to be protected across all health sectors, public or private.

In our profession, what this legislation would effectively do in this particular issue of health information is divide our therapists and our regulation of this issue in half, with half of them dealing in the public sector and half dealing with different rules related to private sector activity.

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One of the other ways that our council has considered it and debated it is that if you're in a publicly funded environment, so if you're part of a CCAC or you're part of a hospital, that particular system is looked at as a health care custodian and individuals are employees within that sector. Within the insurance industry, for example, that is not looked at as a health system or a system that deals with health information sufficient enough to be covered. So what you've got are the individuals being covered off, but not the system itself. It's sort of the flip side of the visual.

The other thing that we'd really like to suggest is that health care is changing. You know this. The government of course just recognized this by introducing the new telecare program over the last week or so. But with telepractice starting to occur, not only within the province but across boundaries and borders, and with the increase in multinational health corporations and the potential of those settling in Canada and how we're utilizing those, we're really in a position where we believe that this legislation needs to look not just at what we had yesterday or what we have today, but where we're going to be going in the next five to 10 years, with technology and the mobility of professionals and how that will affect the Ontario public.

Again, I mentioned earlier that we provide guidance to our registrants to ensure public interest. If we were to be writing guidance around the protection and use of health information, and we presume and we carry this through to its fruition, two or three years down the road what we're looking at is a document that includes guidance under the RHPA, guidance under this particular act, guidance under the Freedom of Information and Protection of Privacy Act, something under consumer and commercial relations here in Ontario, and Bill C-6. That's a very fragmented way to look at a very important issue from a health care provider perspective and from a consumer perspective. Our experience and logic would say that if we're going to divide it up in that way, it's probably ungovernable at best and creates confusion at best. Many providers practise in different sectors, not just in one.

An example of consolidating that would include the consent piece, how we've looked at consent in this province. Although not perfect, it looks at consolidation. Another example of how we've looked at consolidation would be the Regulated Health Professions Act, where there were 50-some-odd ways in which we legislated health providers for a number of years, and over 10 to 15 years studied about how we looked at consolidating that under one act.

We suggest that if health information is seriously important enough to safeguard, then it's important that the rules should apply across those sectors that manage it.

That concludes my remarks. I commend my report to you for your further consideration. Thank you for the opportunity.

The Chair: Thank you very much. That leaves us about two and half minutes per caucus. This time I guess we'll begin with you, Mr Wood.

Mr Wood: Do you have the power to subpoena documents now?

Ms Robinson: We have the power to summons materials, yes, under the act.

Mr Wood: Who does the summons come from?

Ms Robinson: We would seek a summons through the court system, through the typical legal process.

Mr Wood: For the sake of discussion, suppose that we were to agree with some of your suggestions revolving around the relationship between the regulated health act and the draft act we have before us, and suppose we said you have to get a subpoena from a court if you want to access anybody's health information without consent, would you be able to perform your functions under such a regime?

Ms Robinson: I guess part of the issue would be dependent upon the kinds of circumstance available. I'm trying to think of the kinds of scenarios, but partly it might depend on timing. Part of the issue might be related to that. There may also be issues related to the particular kind of investigation that we're looking at doing.

Mr Wood: If I could jump in, we are moving toward 24-7 availability of search warrants. Assuming you had 24-7 availability of the warrants, would you be able to function under such a regime?

Ms Robinson: Given that we're a small college, my preference would be to provide a written response back to you on that because I would like to have the opportunity to ask our legal counsel around situations that we might not yet have experienced in order for me to make a better-informed comment. I'm happy to do that, but I would prefer to do it in a more informed way.

Mr Wood: That would be fine. Simply send a memo to the committee and it will be distributed among the members. Those are my questions.

Mrs Pupatello: I was interested in your comments around the insurance companies and other firms that wouldn't be included in this. I was looking through the various sections of disclosure, for example, and one of them has a particular clause of disclosure and when you can disclose. One of them says "fee for the purposes of obtaining payment for health care provided to the individual." I guess, looking back, it's not included in terms of custodians, but they also aren't the deliverers of health service, and any that would be I'm guessing have been listed. Tell me what your concerns are around that group not being listed as custodians.

Ms Robinson: What happens currently is that insurers utilize occupational therapists really broadly, so they are hired as independents. The problem is that the insurance system often expects its reports to be directly sent back to an insurer. What you have then is a client who wants direct access to their information, and deserves to have access to their information, but gets caught in the system of an insurer that isn't necessarily releasing or takes a long time to release, or is in fact very paternal about their release. Their release is more indirect: they won't release directly to a person but they might release to their physician or they might release to another individual.

Mrs Pupatello: There's no authority, in other words, for them to have to release if they don't choose to release.

Ms Robinson: No. So what happens, for example, for occupational therapists is that we have overriding provisions for expectation for release. But then what you've got is a system that's out of sync. So everyone's working on slightly different rules and what happens for consumers is that they feel that they are caught, and they're not clear on what they're dealing with, even around their own claims. That's been our experience, and distress-for example, an occupational therapist must submit a treatment plan. We're right in the middle of doing auto insurance education across the province, and some of the things I heard around this is that treatment plans are submitted but not necessarily shared with the client, so then you have a provider that's going out to provide the treatment that they're being asked to by the insurer with a client who hasn't yet heard what the treatment plan was about in the first place.

So it's those sorts of pieces that we believe that if in fact systematically we looked at health information as just clearly health information, period, then what you'd have is transparency and the ability of people to access what is rightly theirs in the first place.

Ms Lankin: Following up on Mr Wood's question, you've given an undertaking to have legal counsel provide a response to the committee about what concerns you would have if you were compelled to use a warrant to access information. This question has come up a few times. I actually am not sure where based in the concerns colleges have raised that query comes from, so I want to ask if you would ask legal counsel to inform us if there have been any problems or complaints lodged against the college for the way in which you have accessed information. Under the RHPA it was envisioned that a very specialized group involved in self-regulation must have the right to enter premises and seize records in order to undertake the investigation. And the triggers for that are set out in the legislation. So I'd like to know if there have been any problems with that system, if there have been any complaints about how it's been exercised and what additional protections or benefits we would have from involving the judiciary or court proceedings in issuing a warrant.

Ms Robinson: Fair enough. I know we haven't run into anything, but I'll ask, sure.

The Chair: Thank you very much. We appreciate you coming before us here this afternoon.

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ONTARIO FEDERATION OF COMMUNITY MENTAL HEALTH AND ADDICTION PROGRAMS

The Chair: Our next presentation will be from the Ontario Federation of Community Mental Health and Addiction Programs. Good afternoon. Welcome to the committee.

Mr Chris Higgins: Thank you very much. I certainly appreciate the chance to address the committee on the matter of the bill before us. My organization represents 230 agencies across Ontario that provide mental health services and addiction services to people here in our province. At any given time we would see about 50,000 people a day.

We understand that health information is a critical component of the delivery of health care, that is, the timely and accurate provision of necessary information is necessary to do a good job. There are lots of simple examples of this and I'm sure you're very aware of them. PHIPA or something like it is necessary to get at that problem because right now information flow is anything but effective.

As well, in the mental health and addiction world, the therapeutic relationship between staff and a person, an individual, is a very critical component of service. In fact, if you don't have that therapeutic relationship, you cannot provide service. It may or may not be necessary to have a good working relationship if you're doing some procedures in health care, but in mental health and addictions, if the person does not trust and feel safe with their counsellor, their therapist, there is simply not going to be any service delivered.

The issues that people talk about with a therapist are intensely personal, intimate and often deeply disturbing. People are experiencing stuff they've never experienced before, or perhaps they have, but it strikes them at a very profound level. People don't like to talk about that with anybody. Sometimes they don't even like to acknowledge that it's happening. That's always the case, or at least often the case, with mental health, and often the case with addictions as well. There is a denial or a tendency to try and hope the problem away. When someone finally comes forward to talk to somebody about that problem, they need to feel they can do that in safety. If they don't feel safe, they simply won't do it.

That's the other trade-off, the other element in the quandary we face. We need to have good information to provide good health care, but if we facilitate the transmission of information in such a way that we convey to someone a sense of insecurity, then we won't be able to provide health care, at least not in mental health and addictions, and I suspect in other places.

From the consumers' perspective, they have to develop a relationship in which they trust the person, share that information and know that it's not going to rebound in the form of stigma, discrimination and so on.

Right now the mental health world, that is, the community mental health sector, functions in a sort of common-law understanding under the Mental Health Act. We're not listed in the act as scheduled, that is, we're not scheduled in the act as having their forms and procedures apply to us, but we voluntarily comply with that process. Typically, to give any information to anyone, a community mental health service provider must have a form 14 that is signed to release that information for an express purpose to a particular person. That's the basic understanding we work under now. So we're going from that understanding, where a client is able to say, "I'm not comfortable with you communicating," and when they become comfortable, when they develop a level of trust and they are prepared to sign a form 14, then the information can move between the two parties named in the form. That's what we have.

What we're proposing here is something that is very different. We're proposing that once the health information custodian knows it, whether they even commit it to writing or not, they can convey it to any other health information custodian for the purposes of care, broadly defined. In the mental health world and for that matter the addiction world, that can be very broadly defined.

We'd like to suggest an interim between the form 14, which is often arduous and makes moving information very difficult, and a situation that would result in people being very reluctant to give you the information in the first place, rendering the services almost impossible. What we would suggest is that the basic provisos you envisaged in Bill 159 be applied only to name and identification of the client, that is, a registration nucleus of information. Any health care custodian could acknowledge that they have as a client any given person whom they are serving but that information is all they would be able to acknowledge without consent. That would allow a couple of key things to happen. It would allow agencies to know who is working with a client and it would allow GPs to know if another GP is working with the client. So it would allow for many of the needs-to-know to be satisfied for the purposes of management but it would stop shy of a wide-open scenario.

We would suggest that we add something similar to form 14 but somewhat broader. For the sake of having a name, I've called it a consent to disclosure of personal health information certificate. If someone signed such a consent, we would propose that that would allow the custodian to share information with the other named party in the consent. The other named party in the consent could be a single entity or a network of entities.

We would propose that consent would not be restrictable, that is, once you were able to speak about that person's experience, the person could not rule out of order parts of the file and only leave other parts consentable, if you will. So it would be a broad consent.

It would exist for the length of the client's working relationship with any of the named health information custodians.

What we are proposing, in effect, is something between form 14 and a very broad consent; something that requires that the person feel enough trust and develop enough trust in their relationship that they're prepared to allow that information to move.

On the same basis of need to trust and feel safe to disclose information in a therapeutic relationship, we would like to draw your attention to section 36. Section 36 is a section in which agencies have the discretion of establishing policy that would allow a worker to decide if there are reasonable grounds to suspect that an offence has been committed by the client and then report that to any of a number of named officers under various acts.

We have some serious reservations about that, starting with the basic reservation that it is not anything to do with health care. It is about reporting various breaches of the law, no matter how serious or not serious, to other officers who are charged with dealing with those laws. It is not about delivering better health care. It relies on agency policy to establish a standard for disclosure where there is discretion, and agency policy is no substitute for the law. Agency policies can be changed at every board meeting, if you want, and they are not as strong as the law.

Second, it relies on therapists and agencies to understand what reasonable grounds are in a scenario where the information provided with respect to a person's behaviour experience is somewhat equivocal. People with serious mental illness or people who have problems with substance abuse or addiction experience things that we can't always verify are real. Who is to know what's real or not and how we could establish "reasonable"? Secondly, reasonableness, as an agency policy, gets a lot more difficult to defend if something goes awry after the fact. It may seem reasonable before the fact, but after the fact it may not be judged so.

What offences should be reported? This law would allow any offence to be reported, anything from loitering, to failing to put in their tax return, to more serious offences. We don't think we should have the discretion to report such things unless there is a risk of harm to self or others, and that is actually covered elsewhere in the legislation.

If the client feels that we could talk to any officer of various acts under this discretionary provision, they will leave out information that we will need to know. That is, on the fear that we're going to report them to whomever, they simply won't tell us and we will not be able to do our work.

Finally, that discretionary ability to report somebody under various acts allows a very interesting power relationship to develop, where a person comes in, discloses various trials and tribulations and experiences, and then the worker may or may not report them at their discretion. I don't think that's an appropriate level of relationship in that the worker acquires a certain amount of discretionary power over the client which, again, will not serve a therapeutic relationship. So we ask that section 36(g) be struck.

With respect to my written remarks, there are a couple more points about putting the onus on health care providers, government and bureaucracies to deliver accurate health care records, not on the client. I think the person should be relieved of that responsibility and the bureaucratic apparatus should have it. Fees and procedures for remedying mistakes to records ought not to be charged to the person, since any mistakes that may have been made were not made by them and they may or may not be able to afford the fees. The onus should be on bureaucracies and management structures to correct the records.

That's all I'd like to say in written remarks.

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The Chair: That leaves us about two minutes per caucus. This time we'll start with Ms Pupatello.

Mrs Pupatello: I wanted to go back to section 36(g) as it's worded. Can you think of an instance where it would be necessary and reasonable that medical records would be accessed without a warrant?

Mr Higgins: Yes, I do, if there is a risk of harm to self or others, but if there is not a risk of harm to self or others, then records should not be available.

Mrs Pupatello: Fraud?

Mr Higgins: There are other means to conduct investigations to determine whether a warrant is needed. Once a warrant is provided for, section 36(g) doesn't apply anyway.

Mrs Pupatello: Wouldn't you have to have some idea before you could get the warrant issued to know there's something to get a warrant for?

Mr Higgins: Yes, you would, but fishing around in files without having a reason to do so would not be appropriate.

Mrs McLeod: One quick question about your recommendations on the signed consent form. You would specify the health information custodian or custodians who may receive the personal health information. I tried to think about how that would apply to somebody on a community treatment order, for example. Would it not be important for all the members of, say, an ACT team to have access to that individual's health information, yet it would be very difficult to know who the members of that crisis response team might be in order to specify that they're the individuals who can have access to the information?

Mr Higgins: An ACT team is employed by one corporate entity under the current provisions, so all the members are entitled to share information among themselves.

Mrs McLeod: So the consent form would specify the care provider as an entity, not individual care providers.

Mr Higgins: Yes. If I'm running a housing program, which I used to run, and there's a client and an ACT team and we have this certificate of consent, then we would be able to communicate freely between us for the purpose of delivering good health care.

Ms Lankin: I appreciate the suggestion you're making around the certificate of consent. It's one of the things we're grappling with, what the right balance is. I don't think we really fully understand yet the relationship between this legislation and the Mental Health Act. We've had some presentations trying to draw our attention to what protections will be lost that people currently enjoy under the Mental Health Act with respect to the privacy of their health information.

You did say that you're looking for something in between this legislation and what I think you referred to as the rigorous approach of form 14. I understand some of the concerns of sharing information from facilities and psychiatrists to community mental health, and there have been barriers there. Within the facilities' and psychiatrists' side of things, could you tell us what the problems are with the form 14, or is it primarily between those entities and community mental health that the problems have been seen?

Mr Higgins: Between psychiatrists and other psychiatrists?

Ms Lankin: Well, you said form 14 is too rigid. Why is it too rigid?

Mr Higgins: If it was strictly applied, you would need a form 14 for every single time you talked to the third party, who specified specifically the objective and purpose of that conversation and had it written. If you have a form 14 and I call you today with it, two weeks from now if I wanted to talk about the same thing, technically I probably should get another form 14. If enforced to the full degree of rigour, you would have stacks of form 14s.

The usual way to provide service in health care, including mental health, is a network of agencies. You have labs, pharmacies, physicians, rehab folks, mental health workers. That network needs to be able to move information effectively without each and every one of them needing a specific form every time they want to talk to another one. That's the current strict interpretation we would have to apply. We struggle to do good mental health care when we're not actually able to convey information very easily. I've certainly had experiences as a direct service provider where I have literally had no idea who the other agencies were until I eventually developed a trust relationship with the client so they would tell me. Then I didn't know what they were doing until I developed enough of a relationship that they would release the information.

Ms Lankin: How does that differ from-

The Chair: Sorry, Ms Lankin. You're out of time.

Mr Toby Barrett (Haldimand-Norfolk-Brant): With respect to community mental health clinics, I understand there are no legislative rules at all with respect to privacy. I'm assuming, say, with adult mental health clinics across the province, a lawyer who is working on a custody case can pick up the files on a client and take them to court on behalf of the husband or the wife. Assuming that's been going on for about 20 years, what kind of impact has this been having on people showing up for counselling? How many people drop out once they find out their records can be picked up by a lawyer?

Mr Higgins: First, it's not quite that easy. Although we're not named on a schedule, we generally comply with the form 14 rigour and we will usually seek legal counsel and ensure that there is a process that means the file is necessary or at least the elements required are necessary for the conduct of the court. Sometimes that means a hearing that's in camera so it can be determined whether the information is needed. We do try to prevent unnecessary file transfers with a fair degree of success, since the courts acknowledge that unnecessary information doesn't serve the interests of justice.

Mr Barrett: Would that be your association or the individual clinics that do this?

Mr Higgins: The individuals do it, although our association has provided them with some training stuff. When it comes to addictions issues, if you have an addiction to an illegal substance, the day you walk in the door and acknowledge the addiction you are automatically breaching the law, which is why 36(g) would allow us to turn in every single client we have in any program who comes in voluntarily to seek addiction care. That's just not going to work. No heroin user, no cocaine user, no user of any illicit drug will go to a clinic if the clinic can just voluntarily supply the file to the police. You will not get any people seeking help or moving forward unless they do it through court-mandated things after they go to jail, and surely we can't want to do that. We need to find a middle ground.

If the person comes into care, then the network would know they're in care, so we could know that that person was seeking care. If we wanted to know more about that, we would need a form, and that would provide the necessary rigour so the person will hopefully trust us enough and develop that relationship enough that they would sign the consent.

The Chair: Thank you very much for coming before us this afternoon. We appreciate your taking the time.

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ONTARIO ASSOCIATION OF MEDICAL LABORATORIES

The Chair: Our next presentation will be from the Ontario Association of Medical Laboratories. Good afternoon and welcome to the committee.

Ms Virginia Turner: Good afternoon. I am Virginia Turner, chief executive officer of the Ontario Association of Medical Laboratories. In addition, I would like to introduce Perry Brodkin and Graham Brown from the OAML who are accompanying me today. I am pleased to have the opportunity to address this committee today regarding Bill 159.

The Ontario Association of Medical Laboratories, or OAML, as we are known, is the common voice of Ontario's community-based laboratory corporations. Our members served more than 13.5 million patients last year by providing more than 94.5 million medical laboratory tests, representing about 70% of the objective information that physicians, nurse practitioners and midwives used in the diagnosis and treatment of patients. To that end, community laboratories are an integral part of the health care system. In fact, community laboratories are often referred to as the glue that holds the system together. As an organization, the OAML represents community-based laboratory members and holds the opinion that privacy is part of our everyday mission and value.

The OAML is intrinsically linked to the health care system and strongly supports the introduction of health privacy legislation. In our view, properly written legislation should provide patients with a guarantee regarding the confidentiality of their personal health information. It should clearly define in legislation the individuals or bodies who may collect, use or disclose that information. Additionally, effective legislation must provide an avenue to an individual should their right to privacy be breached. While there is great need for legislation to govern the increased use of electronic exchange of health information, such guarantees must be legislated and maintained. It is the position of the OAML that Bill 159 does not clearly guarantee those areas. Before I continue my direct comments about Bill 159, I will make a few comments on Bill C-6, the federal bill.

Last year, the OAML was the only provincial body from Ontario to appear before the Senate standing committee on social affairs, science and technology in regard to the federal bill, Bill C-6, known as the Personal Information Protection and Electronic Documents Act. Two principal concerns were brought to the attention of the committee as they related to health privacy: the issue of patient consent and the distinction between commercial and non-commercial activity. I will be filing a copy of the brief of that presentation with my remarks today. But suffice to say, a clear issue for us at that table was the unique partnership that our members have in relation to the private and public sector arrangements in hospitals where there was ambiguity in the act at the federal level, and for us, that directly impacts the working relationship in Ontario.

Due to the testimony of the OAML and other health care sector witnesses, the Senate committee made the unusual recommendation to have two amendments added to Bill C-6: a definition of "personal health information" and the suspension of the application of that bill to the health care sector for a period of two years. These important amendments acknowledged the concerns brought forward by the health care community regarding privacy and provided the federal government with the opportunity to consult with affected parties.

Now I will return to the bill that I am here to discuss, Bill 159. Again, the OAML supports the need for a health privacy bill but we believe there are a number of serious weaknesses with Bill 159 as it is currently written and we have some recommendations as to how that might be addressed.

Therefore, I urge you to make the necessary amendments to improve upon the foundations of this bill before sending the bill back to the House for final consideration. Indeed, it is our view that it would be a lost opportunity for this committee not to suggest the necessary amendments.

Specifically, subsection 3(1) of part I of Bill 159 provides that any health information custodian who operates more than one facility, "shall be deemed to be a separate custodian with respect to personal health information of which it has custody or control." The OAML is concerned that this will be a burdensome requirement on community medical laboratories given that they are centrally operated corporations. Subjecting their more than 400 specimen collection centres scattered across this province to appoint a designated custodian for the purposes of the act would be a duplication of human resources. We are also concerned that such an approach could result in inconsistent application of policy related to confidential patient records.

While we realize that a regulation can be made specifying that subsection 3(1) does not apply to community laboratories and specimen collection centres, we are concerned that such a regulation may not be made at the time that Bill 159 comes into effect. Accordingly, we are seeking a specific amendment to section 3 that would specify that subsection 3(1) does not apply to laboratories and specimen collection centres.

Under the heading of broad disclosure, the OAML strongly holds the belief that personal health information should primarily be used as a tool to ensure the health and well-being of the individual and given the highest degree of privacy and protection. The inclusion of all organizations involved in the health care sector under the same legislation is one we support wholeheartedly and which we think recognizes the continuity of medical care that an individual experiences in the health care sector.

While recognizing the need of health care practitioners to share vital information in their efforts to treat health issues, we are concerned about the broad disclosure allowed under the legislation as it is currently written. We believe that the proposed legislation must be an enabler of health care. It is our considered opinion that broad disclosure of personal health information, as allowed in part VI, will be permitted without the consent of the individual, particularly in relation to the management of the health care system. As it is currently written, a direction could be issued for a community laboratory to disclose confidential information it has gathered in performing its diagnostic role to somebody other than the ordering physician.

The OAML is very concerned with the broad authority created under this bill for the introduction of regulations which could fundamentally alter the intent of the bill. Our review suggests that in many important areas, the bill includes the authority to make a regulation to either clarify or revise a process set out in the legislation. This bill, in our view, should have restricted use of the amending tool known as regulations. As the regulation-making process is not visible to the public, the OAML believes the current scope and number of areas in which regulations can be made should be dramatically reduced. It is directly related to a concern for the protection of health privacy that we propose that a transparent process, open to public comment and scrutiny, be established for any regulatory changes to be introduced. In essence, for the purpose of this bill, the use of regulation changes must have a built-in mechanism to afford public consultation, especially with affected parties.

In the area of consent, the OAML believes this bill must set out clear rules on consent when information is used for purposes other than direct medical care and public health. Further, we believe the legislation must allow for a balance between personal privacy and process. We urge the members of the standing committee to carefully review each potential area of disclosure to determine if such a disclosure is warranted or necessary, given the potential loss of privacy.

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In conclusion, we appreciate and accept that a bill such as Bill 159 must of necessity be a law of general application, applicable to all health care providers. We would ask that certain provisions in the bill be specifically tailored to recognize the unique role of certain health care providers in the health sector, including the unique role of community-based laboratories. To that end, we would recommend that, at a minimum, the amendments we have outlined here today be incorporated into the bill, and we would commit to work with you on those. A Personal Health Information Privacy Act that is so specifically tailored would, in our opinion, be a better bill and would further the purposes that you have so clearly articulated and set out in section 1.

The board of directors of the OAML has recently recommended to its members the creation of positions directly responsible for personal health information privacy. The association is well aware that at least one of its members has already embarked upon this ambitious program to address privacy issues by establishing a director of privacy position. We expect that other members of the association will follow suit in the near future.

Thank you for the opportunity to present on this important matter and we wish you the best of luck in your deliberations.

The Acting Chair: I wish to thank the OAML for your presentation. I think we have a little over two minutes for response.

Ms Lankin: Thank you very much, Virginia. I appreciate the presentation. It's nice to see you again. Not having your written submission to follow along with and it being late in the day, I got the last couple of points you made but I've already forgotten the reasons why you were recommending exemption from subsection 3(1). Could you please explain that to me again, and I might then have a quick question with respect to that.

Ms Turner: We were afraid, as it is written, and the interpretation of our legal counsel and others is that it would require each specimen collection centre-and in fact we have 412 across the province-to have a specific person there delegated with authority to keep records and ensure all the privacy records would be held. What we said in terms of understanding this issue is that you have to think about a specimen collection centre as usually having one or two staff there, and we wanted to make sure that the people who really owned those specimen collection centres and ran them had the authority to do that and kept consistent records there.

Ms Lankin: If the central lab owner is the health information custodian, the laboratory medical technologists who are taking the specimens in the specimen labs out there, the satellite labs essentially, are employees of and subject to all the rules of employees of a health information custodian?

Ms Turner: That's right.

Ms Lankin: Thank you. I understand.

Mr Wood: I was wondering if you had a chance to consider the test on the act of informed consent as opposed to simply consent. Have you addressed your mind to that issue at all?

Ms Turner: Could you repeat the question?

Mr Wood: I was wondering whether or not you had addressed your mind to the test in the act of informed consent, as opposed to simple consent. Have you addressed your mind as to whether or not that would create any difficulties with respect to the work that you do?

Ms Turner: This is one of the issues that we were so concerned about with Bill C-6 in Ottawa, so we have given a lot of consideration to it. Perhaps the best way to explain it is that a physician is the person who has direct contact with the patient and so they have already gotten consent to send the person-me, you-to a specimen collection centre to have a particular test done. So we really don't have to do that because it has been already done between the patient and the physician.

My counsel is telling me that we are the agent of the physician, which is a much better term to use. In essence, when a physician orders a requisition, we basically provide the service on behalf of the ordering physician or nurse practitioner.

Mr Wood: The question of consent doesn't really, I gather, engage you very much one way or the other.

Ms Turner: Not today, but that is our worry, as I alluded to, in terms of the federal bill and why we were so concerned and asked for clarification. Because in Ontario we have many partnerships of a medical laboratory which may in fact have the management arrangement for a laboratory in a hospital, under Bill C-6, we would be considered commercial activities for the purposes of law. We are concerned that in a hospital setting, where one of my members may manage a laboratory for a hospital, would we have to get a patient's consent in a hospital every time a physician indeed asks for a test to be done in that lab and that lab may be operated by one of my members. To us, that's still really unclear. But thank you for your question.

Mrs Pupatello: That was my question, that once the private labs got into the hospital setting, what changed in terms of how the lab does its work in this regard? It's a relative novelty over the last, say, five years that the private labs actually moved into the hospitals. Has anything changed at all?

Ms Turner: I think that's kind of out of the scope of what I feel I probably can address today properly. I believe that certainly the work is being done and it's being done well, that people are happy with those arrangements.

Mrs Pupatello: Has it changed their methods of data-

Ms Turner: No. The same arrangement of one of our members in any one of its collection centres and the same high standards would be there in a hospital environment as well.

Mrs Pupatello: Do you transfer any results of tests via the Internet, e-mail, telephone? How do you give results?

Ms Turner: As one of our physicians often tells me, "Virginia, we do it by phone, we do it by fax, we do whatever it takes," in order that a physician gets the response they need in order to treat their patient.

Mrs Pupatello: Do you have any concerns over privacy with the onset of additional Internets or bouncing it off the satellite or something?

Ms Turner: It's certainly a larger discussion for another day and we continue to work with those individuals who are trying to work in this area. We've been long involved in the areas of the impending smart system in Ontario and lab information systems, so we continue to be vigilant, we continue to work in that and to ensure the protection of patient information.

The Chair: Thank you very much for taking the time to appear before us here today.

FRANCES TEXTOR

The Chair: Our next presenter will be Ms Frances Textor. Good afternoon and welcome to the committee. Ms Textor, it's protocol for us, when it's an individual who might not have experience presenting before us, that we like to read something into the record. I understand that our next presenter after you is also an individual and he's in the room, so to kill two birds with one stone, while the MPPs themselves enjoy parliamentary privilege and certain protection, pursuant to the Legislative Assembly Act, it's unclear whether or not these privileges and protections extend to witnesses who appear before committees. For example, it may very well be that the testimony you have given or are about to give could be used against you in a legal proceeding. So we caution you to take this into consideration when making your comments. In other words, govern yourself as if you didn't have parliamentary protection. With that on the record, the floor is yours.

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Ms Frances Textor: My name is Frances Textor. I'm a housewife, a health care consumer and an avid reader of newspapers, with an interest in health care issues.

I wish to discuss two very important points relating to Bill 159. The first is how observers and recorders of personal health information may be lacking and how inaccuracies in their records and documentation may negatively impact upon their patients' assessments, treatment plans, diagnoses and present and future treatment. Patients' families are also affected.

The second is how medical systems are lacking accountability to patients and how they also put patients at risk by virtue of inaccurate data.

Observers and recorders whose documentation may negatively impact on patients; the negligent, non-recovered addicts and the unstable-their records may be absent, incomplete and flawed-the biased and prejudiced; the unethical, ie, who edit and censor, delete, remove and/or destroy records, ie, muzzlers of whistle-blowers.

Health care workers within a roster system for a health maintenance organization-HMO, corporate power-who are assigned X amount of dollars for each patient yearly, with a large number of patients, who get to keep the money left over, not used up for each patient's care at the end of the year, might use the personal health record or computerized database to rule out the disadvantaged, vulnerable, seriously ill, needy, disabled, infirm and aged to select young and healthy patients for personal monetary gain.

HMO custodians of personal health information may charge excessive fees to patients for a copy of their record and may control access to patient data; sellers of personal health information and also the selling to tertiary sources for computer data linkage; muzzlers of whistle-blowers who threaten and abuse health care professionals who report and expose the workplace violations of security, health and safety; providers of substandard patient care who lack adequate training and expertise and those who lack the necessary education and skills re privacy, ethics and communication skills; those who invalidate the patient who supplies his or her personal health history, signs and symptoms, ie, leave out the recording of the patient's input-this concern may include professionals whose code of conduct encourages non-disclosure of patients' complaints re professional colleagues in the document-health care providers and custodians of medical data who deny the patient basic information and clarification of their record; those convicted of a criminal offence may be dishonest in their documentation; those who do not secure, protect personal health data-this concern would also include spies who jeopardize individuals' privacy-insurance representatives and custodians of the client-patient records who mistreat and use unfair practices at times with patients and clients, threaten, intimidate, harass, coerce and give uninformed consent; hidden agendas of insurance representatives who misrepresent their real purpose to gather the clients' personal health data, not to help the client but to win the insurance claim case, and those who want to stop the mediation process by threatening the client with exposure of their personal health records to the public record.

Restricted individuals, by means of the capping of fees, are hampered in their efforts to provide thorough patient care and documentation. Medical systems lack accountability and put patients at risk by virtue of inaccurate data.

The complaints and discipline process of the CPSO: KPMG Consulting, LLP is currently conducting an independent review commissioned by the Ministry of Health of the complaints and discipline process of the CPSO. Fewer than 4% of the complaints ever make it to discipline. On June 8, 1998, Georgina Hunter, an Ontario citizen, in her Queen's Park release, asked for an independent review. This video is free from Queen's Park.

OHIP fraud squad investigation process: patients who lodge a written complaint to this body re their doctor are further victimized. They do not receive a response. They are not permitted to attend the hearing re the doctor. They are instructed to search the newspaper daily to see if their doctor was charged. They cannot get their erroneous health/OHIP record changed.

Informed consent: patients need informed consent re sharing of their health record and treatment. In order for the patient to have informed consent as a consumer of medical care to select the best choice of treatment and care by a practitioner, the patient requires information regarding the following: criminal record-CPSO needs to obtain a police check rather than ask the doctor whether he or she has a criminal record, ie, Dr Jacquelyn Robinson-problems, complaints, malpractice, negligence charges, ethical concerns, ie, the track record, civil proceedings, bonding. As these individuals are in possession of and are the custodians of a very valuable commodity-health data-they should be bonded. Foreign-trained background check: Dr Jacquelyn Robinson, Dr Death, who I believe trained in South Africa and had been practising out west. Professional qualifications and ability: to date no doctors criminally convicted of OHIP fraud have lost their licences, according to the Toronto Star documentation that I read.

Doctors' malpractice insurance: it is a conflict of interest for citizens' tax dollars to pay 50% of doctors' malpractice insurance. Bill 159 would permit abusive and/or negligent doctors to access the personal health information of patients they have harmed. For this reason, it would be contraindicated for doctors to act as the gatekeepers of patients' health data, ie, of the computerized personal health information database.

Privatization: HMOs' primary purpose is to make money and be accountable to stockholders, not to the patients. HMO roster systems tend to abuse the patients by forcing rigid contracts, controls and rules inhibiting access to quality patient care to save money for the corporation.

Cutbacks to medical care: the result is less and less time for health care practitioners to provide the quality health care that is needed, to function effectively and to document patient care.

Recommendations:

(1) Stop the cutbacks and stop the abuse of our health care providers. Give support, improve working conditions, give credit for work well done, pay health care workers what they are worth, listen and respond promptly to their concerns-pension, security, education expenses-and learn by the wisdom and instinctual abilities of the experienced health care practitioner, or it is likely stress and illness will occur, affecting health care providers and their families, and ultimately the patients suffer.

(2) Patients must be given informed consent re the pros and cons of Bill 159 re treatment and the choice of practitioner.

(3) Independent bodies investigating professional misconduct.

(4) Professional bodies of health practitioners are more accountable to the public and involved in health education.

(5) Instruct the patient to sign a bill for receipt of services rendered, and the practitioner sends a copy to OHIP, a cost-effective method to monitor OHIP practitioner fraud; patients' privacy maintained.

(6) Doctors maintain their Hippocratic oath by obtaining a consent from patient before release of personal data.

(7) Doctors pay their own malpractice insurance to avoid conflict of interest.

(8) Education as an ongoing requirement of health care providers, with audits of professional standards, education and skills re certification.

(9) Involve the patient in their care by consulting with the patient and asking for their help.

(10) Immunity for whistle-blowers.

(11) Strict controls governing insurance companies to prevent conflicts of interest and the complaints that complainants make regarding not being treated in a proper fashion.

Bill 159 is harmful to patients and individuals. It is fake and full of loopholes. Using the words of Canada's Privacy Commissioner, George Radwanski, quoted in the Toronto Star, page A22, February 9, 2001, "Scrap it."

Bill 159 permits in an instant our personal health information on the Internet to be everywhere and anywhere, and if it's erroneous we can't change it for an eternity. Everywhere, anywhere, quoted in newspaper article, "Electric Vision-Bigger Profits and Fewer Jobs," Frank Zingrone, York University professor, communications, co-author with Eric McLuhan, Essential McLuhan.

Question: was our Ontario Integrity Commissioner involved in the drafting of Bill 159?

Treat all individuals equally re criminal offences. No one should be above the law.

Specific consequences for those who abuse and coerce patients, and those who act unethically.

Save medicare, or just say not to privatization.

The Chair: Thank you very much. We appreciate your quite varied presentation here before us today.

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MARIO PALISKA

The Chair: Our next presenter will be Mr Mario Paliska. Good afternoon. Welcome to the committee.

Mr Mario Paliska: Good afternoon, ladies and gentlemen.

The Chair: You did hear my caution that I read into the record before that last presenter?

Mr Paliska: Oh, I know that, but those people obviously cannot hide. They're not criminals, right?

The Chair: Oh, no. It's a caution to you that while we're protected for anything we say in this room, no one else is; or at least the courts have not decided that. So govern yourself accordingly.

Mr Paliska: I've decided to show what they really are, what some doctors can be actually, how they caused me a lot of troubles.

The Chair: I'm just making sure that you heard my caution earlier.

Mr Paliska: All right.

The Chair: The floor is yours.

Mr Paliska: My name is Mario Paliska. I'm representing myself and ordinary citizens. I just would like to read this letter.

Dear Chair and members of the committee:

Protecting best interests of Ontario citizens who you are supposed to represent must be the main objective and not supporting bad-apple professionals who engage in wrongdoing or criminal activities.

Producing false, slanderous, unreal malicious information and locking it in official files or documents out of personal gain, malice, incompetence or other "up to no good" reasons is serious misconduct or a criminal act.

If a police officer would engage in false reporting activities he would be in serious trouble.

That the Ministry of Health intends to push Bill 159 is an obvious indication that this Ministry is up to no good and is acting contrary to the public's best interest. They are taking the side of wrongdoers or criminals and not the public.

The bill, if passed, will produce a significant level of mistrust for doctors in the eyes of the public. This might seriously effect and jeopardize public health in a way simply put: many members of the public will not see the doctor until it is too late. I personally did not see my doctor for years due to my justified mistrust and doubt of his competence when dealing with conditions for which holistic alternative therapies are more suitable. Unfortunately, holistic therapies are not covered by OHIP while conventional medicine is.

Since then I have become interested in natural holistic therapy and natural healing. I am also a holder of numerous holistic natural healing certificates, which would also qualify me to be licensed as a holistic practitioner under present Toronto municipal bylaws if I decide to practise, in some modalities, at least.

Holistic therapy or healing is absolutely no replacement for conventional medicine in many cases except in some conditions, but the issue here is trust for doctors, which Bill 159 would seriously undermine and which would not be fair to good doctors and patients who would need them but would stay away because of this bill. I don't say everybody would stay away, but many would, or some at least.

Bill 159 will do nothing but jeopardize public health by generating a significant level of mistrust the public will have for doctors, which might result in fatalities in some or many cases if because of this bill people stay away from doctors until it is too late.

Bill 159 would also produce serious problems in the justice system when patient files might play an important role in criminal justice for either defensive or offensive purposes if the patient is falsely accused or is a victim of a crime.

Most doctors are honest, hardworking professionals, and such a bill would not serve any purpose for them. Bill 159 would only serve the criminals and incompetent doctors who might benefit from this bill.

Bill 159 must not be passed and should instead be replaced by another bill which would not only protect the public from damage to their reputation but would also punish the criminals and incompetent doctors this bill is supposed to protect.

My personal "living hell" experience with some diabolical neo-Nazi fascist criminals, whose leader for North America was Toronto doctor Marin Sopta, clearly identifies the potential destructive damages that false files, slander and lies can have on ordinary citizens who for some coincidental reason becomes a threat to conspirators. In my case, the conspirators were also members of the Canadian government, because they cover them up and provide them with training facilities. I didn't put this, but I just want to explain that.

Mary Sopta, a Canadian scientist who is Dr Sopta's wife, who was a member of the Liberal Party of Canada who ran in the Etobicoke-Lakeshore riding in the federal election, prompted an angry demonstration of Canadian Serbs which caused her downfall.

Dr Sopta's associates were also involved in numerous unlawful activities, including the mid-1980s bombings in New York and Toronto. They were also involved in paramilitary terrorist training in Ontario, which was actually preparation for the upcoming war in Yugoslavia, involving them in crimes against peace, war crimes and crimes against humanity as clearly identified in some media information. Such criminal activities are contrary to international laws founded at the Nuremberg trials, Article VI, A, B, C (I) and (II), which also implicate the Canadian government in breaking such a law in covering up such criminals and providing the training facilities for their programmed war crimes activities which took place later.

The United Nations law founded in the Nuremberg trials, Article I, II, III, IV, V and VI A, B, C and (I), (II) clearly identifies that no one is above the law regardless of position in society or any country. Canada signed that law, which is also part of the Criminal Code of Canada, but the Canadian government in this case broke this law by being an active participant. The Canadian government was a willing participant in the breaking up of my country, the former Yugoslavia, but never acted to ensure the rights of my nation, which is Istria, in the new country which is called Croatia, which also has no respect for Istrian rights for autonomy and self-government.

I was considered at that time a serious threat to criminals associated with Dr Sopta and his strong connection with the Yugoslav-Croatian section-secret service-UDBA. According to findings, they also were one of them connected to the CIA-well, everybody knows that; I'm not the only one-and the government of Canada. As soon as I became a threat to their identity they immediately resorted to well-proven tactics short of murder: assassination of character and reputation.

In 1988, in Yugoslavia the secret service-UDBA-orchestrated the death of my brother when he became a threat to their identity by him knowing of their slander and conspiracy against me and how they used the police to generate lies and false information. They also used in Canada too as they did in the former Yugoslavia. Such lies were similar to those used in 1977 when I was continually verbally harassed at my workplace in Toronto, which forced me to abandon a secure and well-paying job.

It is your duty and responsibility to protect the public and not the criminals, so I ask you to please reconsider pushing Bill 159 for the sake of everyone concerned.

Thank you for your attention.

I also attach this letter. This is for your information, so the connection between those criminals-my case is how the doctors can be a very influential source for the good or for the bad of the citizens. In this case they would have to be neutralized for some reason, which is for instance because somebody knows something about that. Especially in this case, it clearly said that he was actually, the Serbian community organized a demonstration at Queen's Park here against him. I don't know if you knew about that. He was a doctor. He was the head of the neo-Nazi organization called Ustashas. This is his friend. You can see him saluting-the neo-Nazi salute. This guy, named Kapular, he is now a general. He used to work in that working place where I was forced to leave because I had asthma. At that working place also used to work one Toronto police sergeant who was involved in the shooting of the black gentleman with the sword on Bathurst Street, above you, a few years ago. That sergeant used to also work with me as a part-timer. He used to go in the police academy. His brother was there. I was myself a vice-president of the Jane Finch Concerned Citizens Organization for some time. Linda Morowei, you know her; her brother was actually shot by this police officer.

That police officer used to work with that general and me. That general became involved here with paramilitary training. This top guy next to President Tudjman, Mr Gojko _u_ak, a Canadian businessman, he's the one that actually promoted him to general. It's his sister that started with this slander conspiracy against me in the place called Weston Bakeries in Toronto. The lies that they make here and back in Yugoslavia caused my brother's death. So just generally the lies and false information can destroy people's lives.

Acting on behalf of those kinds of cases, how can doctors have such power to do something evil? As they have for good, they also can do something bad and get away with that. The information about them being in war crimes I got from the newspapers, so they can blame the newspapers or sue them if they want. I don't care about that.

The Chair: Thank you very much, Mr Paliska, for your presentation. We appreciate your taking the time to come before us here this afternoon.

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ONTARIO NURSES' ASSOCIATION

The Chair: Our next presentation will be from the Ontario Nurses' Association. Good afternoon and welcome to the committee.

Ms Barb Wahl: I'm Barb Wahl, president of the Ontario Nurses' Association. The Ontario Nurses' Association is very pleased to have this chance to comment on the Personal Health Information Privacy Act.

We represent 45,000 registered nurses and allied health professionals working in hospitals, long-term care, community centres, community nursing and so on. It's our obligation and our duty to act on behalf of the professional interests of our members and also to speak for the public good.

We understand that the privacy commissioner believes this legislation should be redrafted completely because it's not compatible with federal legislation. We agree with this and we hope that the provincial government will in fact completely reconsider the direction it has taken.

We're here to provide feedback on the legislation as it currently stands. Many other groups have already appeared before you, so I'll try to be fairly brief. We submitted a document detailing our concerns to the Ministry of Health and Long-Term Care last September and were disappointed that the act does not reflect what we sent in that submission.

I would like to focus on three areas. First of all, disclosure and access: it pertains to the legal and ethical obligations of registered nurses and allied health professionals to maintain patient confidentiality and to protect the rights of individuals. This will also deal with our concerns related to who has access to information.

Our second point is the double penalty for legislative violations. ONA is deeply concerned that health professionals can be penalized twice, once for violating this act and once for failing to meet their obligations under the Regulated Health Professions Act, which already exists.

On the third point, unrestricted government access to private health information, ONA believes the government should be subject to the same restrictions and limitations as all other parties.

Health professionals have a moral and a legal obligation to ensure that a patient's personal health information is kept private and that an individual's rights are protected, and that a patient's consent to disclose health information is current and genuine. This legislation allows too many exceptions on what information can be disclosed and to whom.

First of all, more on disclosure and access issues: we agree that consent should be the standard in the act. Disclosure must be based on the right of consent. Disclosure without personal consent must only take place in extreme and exceptional circumstances that need to be clearly defined in legislation.

ONA is deeply concerned that the legislation allows the Minister of Health and other parties the authority to disclose health information without consent, based on vague and undefined provisions. For example, disclosure to a researcher is subject only to the approval of the research ethics committee. This research ethics committee may determine that the researcher needs to obtain consent, but it isn't obligated to do so under the legislation.

The ethics review body has been granted the legislative power to assess whether adequate safeguards are in place to protect the privacy and confidentiality of individual personal health information. We're greatly concerned about that.

The non-specific language in the legislation is of great concern. For instance, in sections 24 and 27, there are extremely open-ended terms with restrictions on the use and disclosure of health information to third parties. We believe this creates a loophole that leaves the legislation open to abuse.

The legislation also states in section 36 that it is permissible to release a patient's personal health information without consent to such groups as the regulatory bodies of health professionals for administering and enforcing their respective acts. How will the government ensure that health professionals will be informed of the rules that govern a health discipline aside from than their own, keeping in mind there are over 20 different health disciplines?

ONA also strongly believes that the need for safeguards will be even more essential as the health care system becomes increasingly dependent on information technology. ONA supports the need for a single integrated health care system linked by information technology. However, this seamless system for the delivery of services must ensure that the appropriate care provider is able to access health information and still ensure a patient's privacy and confidentiality.

We're also very concerned about the restrictions in the act relating to individual access to personal health information. For example, section 44 contains a loophole that has the potential for preventing individuals from accessing certain types of information about themselves, which will be determined by regulation.

Regulations may also attach fees for access or copies of personal health information. We believe that could pose a barrier.

Our second concern is about the double penalty for legislative violations. The legislation sets out a penalty for wrongfully disclosing personal health information, including a fine of up to $50,000 against an individual. In addition, a professional provider could also be subject to professional misconduct penalties for violating the Regulated Health Professions Act, which already exists. There are provisions there on confidentiality. This could bring the severe penalty of the loss of licensure and a fine of up to $35,000. ONA believes this would unfairly penalize health professionals twice for the same violation.

Regulatory colleges mandated under the Regulated Health Professions Act set out the parameters for professional practice and should be the final arbitrators on professional practice. These regulatory bodies are created to safeguard patient care. They're the arbitrators of the standards of practice and professional conduct. They're empowered with the legislative accountability to determine what is a reasonable action for health professionals in certain circumstances, and they have already established safeguards for the protection of the public and procedures for imposing enforceable and appropriate penalties.

There are many situations where a health professional may have to disclose private information without the consent of the patient or a substitute decision-maker. This can occur, for example, when a health provider must deal with police, coroners, public guardians, children's aid societies and public health boards. Some but not all of these examples are set out in the legislation as personal health information that may be disclosed for a specific purpose.

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The legislation has left it up to health information custodians to develop safeguards and practices on disclosure of health information without consent. ONA believes it's the role of government to set the provincial standards. There must also be recognition for the possible conflict a health care provider may be in between the competing principles of public interest and the protection of individual privacy.

We're concerned, thirdly, about the unrestricted government access to private information. The Minister of Health, or designate, is granted unlimited access to private health information and is not subject to the restrictions that apply to other parties on what information can be accessed and released. We believe government has the same moral obligation and accountability to protect the rights of private citizens.

Currently there is no limitation on the type of information that can be disclosed to the Minister of Health. Does the government really need all of a person's health information, including health status, to meet the purposes set out in the legislation, that is, the management of the health care system? We believe the government really should only need information relating to a person's registration, such as name, address, phone number, gender, date of birth, marital and employment status, identification number and so on, in order to verify it has accurate information for the management of the health care system. My experience with patients is that they wouldn't want the government to know all of their personal health information.

There should be limitations on what personal health information should be disclosed. The limitation described in section 31 is weak, and in practical terms the government will seldom have to justify to Ontario's privacy commissioner why it is requiring personal health information. We believe the government must be held accountable for how the information will serve the public's interests.

ONA agrees with the opinion of George Radwanski, the Privacy Commissioner of Canada, who says that this legislation seems designed to ensure that the Ontario government and a "virtually unlimited range of other organizations and individuals" have unrestricted access to the most private health information of every citizen in Ontario.

Here is what we recommend.

Eliminate the fines and penalties directed at individual health providers for the violation of Ontario patient privacy laws and leave the regulation of health professionals to their mandated regulatory bodies.

The legislation must direct health information custodians to provide comprehensive education to health professionals so they can meet their obligations and accountabilities and can clearly understand what information may be disclosed and what must be protected. It is unreasonable to expect health professionals to be aware of all the statutory duties required under this legislation in addition to the laws regulating their own practice.

Health information custodians must develop policies that clearly spell out a process for health professionals who need guidance on decisions relating to requests for disclosure.

The government must be as accountable as all other parties for the protection and non-disclosure of confidential patient information and the government should have the same limitations to access and disclosure as other parties.

Health professionals need access to information to ensure they are referring patients to the appropriate care provider and services. The legislation should facilitate information-sharing for health professionals while protecting the rights of the individual. We believe the legislation as it is set out is too broad and puts the privacy of individuals at risk rather than protecting it.

In conclusion, the judgment calls that nurses and other health professionals have to make on a day-to-day basis are difficult at the best of times. They are under constant pressure in understaffed and highly demanding workplaces to provide safe, quality patient care and also to make sound decisions about information disclosure. This is viewed as a very serious issue. The combined threat of a $50,000 penalty and the possible loss of their licence to practise as a result of professional misconduct may have a significant chilling effect on nurses and other health professionals for whom the sharing of information is part of the integrated delivery of quality health services. One more time we see a threat delivered to professionals when in fact we need to retain our health care professionals and give them support so they can do their professional jobs.

This legislation is deemed to protect from liability health care providers who act reasonably and in good faith. However, it doesn't provide enough guidance, nor does it give comfort to health professionals who face situations every day where they are required to disclose information to public health boards, social agencies, group home workers, children's aid societies, or during police or coroners' investigations.

Nurses are already working under extremely difficult conditions as the result of health funding cutbacks and staffing shortages. Many are concerned that their professional standing may be at risk because they are unable to provide safe, quality patient care at this time. Because of this, thousands have left their practice to go to other jurisdictions or have left nursing altogether.

It is essential that this legislation be designed to enable nurses and other health professionals to protect their patients' rights and privacy and to fulfill their professional obligations. It must arm them with knowledge and effective tools for making fair and reasonable decisions on the disclosure of health information.

Thank you.

The Chair: Thank you very much. That leaves us about two minutes per caucus for questioning. This time we'll start with Mr Wood.

Mr Wood: Would you support a provincial bill based on the federal privacy act?

Ms Wahl: We would have to look at what the provincial bill looked like specifically.

Mr Wood: Do you think the federal act is a good act or do you have reservations about it?

Ms Wahl: We believe that's more appropriate.

Mr Carl DeFaria (Mississauga East): How would you deal with the right to access by someone suing a health care provider? You are advocating basically for the health care providers providing the rules of access to information.

Ms Wahl: This already exists in that we have the Regulated Health Professions Act. The Regulated Health Professions Act was created in order to protect the public from the health professionals. That act has within it a number of-I don't know what you would want to call them-legislative bullets which ensure that if you, as the recipient of care, have complaints and concerns, you will receive all the information you want and-I'm quite aware of the process-all the information about the patient's chart, everything the individual practitioner has ever done and said. You are able to access this at this point in time. So this legislation isn't required for the person who wishes to sue to get that information; it already exists.

Mr DeFaria: That's not my experience. I've had constituents who tried to get records and they couldn't get them.

Ms Wahl: If you deal with the various colleges under the Regulated Health Professions Act, you have the right to get that information.

Mrs McLeod: We've heard a lot from the regulated colleges over the last couple of days and they certainly make a case that the colleges should be exempt as health information custodians and their regulatory framework should have primacy over what is in the health privacy legislation. I appreciate all the comments you've made about the amendments that need to be made to that health privacy legislation generally, but let's assume we have amended health privacy legislation and colleges are excluded but their regulatory provisions are protected. Does that still leave the front-line providers working under two very different sets of rules? I hear you saying it does in terms of the double fine.

Ms Wahl: Yes, it does.

Mrs McLeod: There would have to be clarity around that, but are there other areas where there are two sets of rules now?

Ms Wahl: I believe there would still be two sets of rules because over here, as a practitioner, I'm obligated under the College of Nurses to disclose information to a certain body. Under my professional practices and standards, I need to tell this body about what I've seen, what I've experienced etc, and over here it says that I can't do so.

In dealing with an elderly individual who may or may not be of sound mind at all times, I may not be able to find any family members. I may have concerns, I have to disclose information to someone, yet over here I'm not able to protect that individual's privacy. So we believe there should be one set of regulations.

Mrs McLeod: Or at least absolute consistency between the two?

Ms Wahl: Absolutely. My sense when I'm reading this is that my professional practice could in one situation be pulled in two different directions.

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Ms Lankin: Barbara, I appreciate very much the recommendations you've set forth. On the last situation you just commented on, I'm wondering whether someone could perhaps prepare a case study for us and give us a clear example.

One of the things the colleges have said is that there are areas in the new proposed legislation that are stronger in terms of privacy protection which they think should be imported into the RHPA scheme. That might address the concern you're raising. I'd like a practical example, though, of where the professional code of conduct and the requirements under the RHPA are different with respect to the protection of privacy than what this bill proposes. If that's possible, that would be very helpful to us.

Ms Wahl: You think it would be useful to have that drawn up? Because there's actually other legislation that could impact on it as well. That's why I think the point about the amount of legislation that governs a professional in trying to make a decision with regard to a particular patient is actually mind-boggling. The standards of practice-you've got this much. You've got a lot of legislation here. You have other pieces of legislation that impact a decision that in fact must be made sometimes within a few minutes.

Ms Lankin: I appreciate that. I think your comments about the policies and education that have to be developed and provided to help professionals are really well taken as well. Also, this is, I think, the first time anyone has mentioned the double jeopardy with respect to the fines. That's a really good point. The committee will need to take a look at that. But if it's possible for ONA to provide us with a couple of case studies of the contradictions, I think we would find that helpful.

Ms Wahl: I think it's critical that legislation be supportive of patient care as opposed to throwing up another barrier.

The Chair: Thank you very much, Ms Wahl. We appreciate your coming before us this afternoon.

ONTARIO HOSPITAL ASSOCIATION

The Chair: Our final presentation this afternoon will be the Ontario Hospital Association. Good afternoon and welcome to the committee.

Mr Frank Norman: Good afternoon. My name is Frank Norman and I'm the chair of the Ontario Hospital Association board of directors. With me this evening are David MacKinnon, the president and chief executive officer of the Ontario Hospital Association; Murray MacKenzie, who is the president and chief executive officer of North York General Hospital and my immediate predecessor; and Deborah Tarshis of Weir and Foulds, our legal counsel.

In the knowledge that this is the end of a long day, I'd like to make some very quick introductory remarks and then pass on to others who are much more knowledgeable in this world than I am, as I am neither a health care professional nor am I employed in the world of health care; I'm a volunteer.

I'd like to start by acknowledging the sensitivity and complexity of this issue. The OHA applauds the government's initiative and commitment to addressing the issue of privacy and personal health information and supports the introduction of legislation.

The privacy of our personal health information is of paramount importance and it merits special protection under the law. We believe that laws designed with the commercial sector in mind cannot respond appropriately to such sensitivities and, as such, we support the need for comprehensive health privacy legislation. It is vitally important that appropriate safeguards are in place to protect individuals' privacy.

The enhanced use of information technology is crucial to our continued efforts to promote integration and accountability in the health care system. The challenges of striking the desired balance between an individual's right to privacy and the information needs of the health care system are serious.

While the OHA has a number of concerns respecting some of the provisions within Bill 159, we're committed to working collaboratively with the Ontario government to ensure that privacy legislation for personal health information is enacted. I think our track record with the consent legislation bears out our commitment to working in these areas.

Mr MacKenzie will discuss what can be done to achieve the balance between protecting personal information and our ability to provide care and plan for the future in greater detail. Mr MacKinnon will also comment on the relationship between the need for privacy and technological change.

Mr Murray MacKenzie: Privacy issues, while always of fundamental concern, are particularly important when dealing with matters related to an individual's health. They're important and they're unique. At the same time, health care providers are increasingly under pressure to improve planning and to be more cost-effective-gains which will largely be achieved through the use of information technology.

The challenge of striking the desired balance between an individual's right to privacy and the information needs of the health care system is a difficult one. Health privacy legislation has to be tough enough to protect personal privacy but it also must be flexible enough to enable integration, future planning and policy decisions. It must allow for the gathering and exchange of information by many different providers in many different locations. It must guarantee that an individual's personal health information remains confidential, while providing a foundation for the future-a future that will rely more and more on technology, electronic communications and the transfer of the very information that we must protect.

The OHA acknowledges that achieving this balance is a formidable task but believes that such challenges should not impede the establishment of a comprehensive legal framework for personal health information. We need it and we need it in Ontario now.

The OHA has long been a proponent of using information technology to integrate care, whether it is integration of care and transfer of information between multiple sites of a single corporation-and health care restructuring has left us with many of these. I include, for example, my own hospitals at Finch and Bathurst in Toronto or at Leslie Street, and my own long-term care facilities at Finch Villa and the seniors' health centre. I work in a multi-site corporation which is truly integrated. Patients move, as they're in different stages of their care, from one site to another. This current legislation, under some of its definitions, leaves us with major problems.

The OHA believes that the use of confidentiality of personal health information is an essential part of the continued integration of health care services. It is also an integral part of promoting accountability within the health care system. If patients are truly going to benefit from emerging technologies to get the right care in the right place at the right time, their care providers need access to health information. If we are to adopt modern technologies and make full use of the advances in information technology, we need to be able to share information within institutions and across the entire health care system.

Earlier today, my own hospital and York Central Hospital signed an agreement of collaboration in pediatric and maternal-newborn care. Patient records must flow sufficiently and effectively through the system with the patient every day if this type of collaboration is to be successful. With this need for balance in mind, the OHA does have a number of concerns with regard to certain provisions in Bill 159.

Several very important issues, namely, research and directed disclosures to the minister, require further study, sometimes much further study. It is our view that, as currently drafted, the provisions of Bill 159 need revision in order to more fully balance between patient rights and system needs. To achieve this goal, the government must hold meaningful consultations with the affected stakeholders to ensure that the intent of the legislation is reflected in all of the bill's provisions. They are not, in many.

We also have a number of specific concerns respecting the definition of "health care custodian," the electronic transfer of personal health information, accuracy of information, permitting discretionary disclosures to assist investigators, and the powers of the privacy commissioner. The provisions respecting offences, penalties and immunity may potentially deter many from assuming the responsibility of hospital directors. These and other specific concerns can be found in detail in our submission.

On a more positive note, we are pleased that the quality of care information has been treated as a separate category of information, and appreciate that special consideration was given to use of information for charitable fundraising purposes. The OHA further acknowledges the efforts made to provide for continued system improvements in respect to continuity of care and accountability, which are so essential to the continued evolution of our health care system.

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The OHA also supports the creation of the position of assistant commissioner with expertise in dealing with privacy issues in the health care sector.

In conclusion, we support the efforts of the government to introduce privacy legislation for personal health information. Given the complex and sensitive nature of this issue, we acknowledge that the legislative process may prove both difficult and protracted. It is our position, however, that such challenges should not pose an insurmountable obstacle to the establishment of a comprehensive legislative framework for the privacy of personal health information. We need to work at it, and we need to work at it intensively with many stakeholders. The OHA certainly is willing to commit to that effort.

Mr MacKinnon will now comment on the relationships between privacy issues and technological change.

Mr David MacKinnon: Thank you very much, Murray. I'd like to really deal with two aspects of that question: first of all, why the sharing of information routinely is so important to us, of course always assuming appropriate protection for privacy; and second, what are recent changes with respect to the risks attached to those kinds of information exchanges.

I guess the first reason it is so important to us, building on some of Murray's comments, is that if we, for example, can have processes and procedures in place whereby we transfer information about people instead of the physical transfer of those people, think what we can achieve. If someone's got a real problem and is lying in a small hospital, perhaps if we can exchange electronically advanced MRI or X-ray images and have that person treated by a physician in a hospital 300 miles away, we have a more comfortable patient because he or she is not being moved. We probably have less risk in transit, in terms of, in some cases, ambulances, and we probably have more timely treatment. So in some ways, improved sharing of information is very much in the interests of patient care. That of course is always central to the questions we ask.

The second reason transfer is so important to us is because if you think of most of the people in this room as taxpayers, what they're really buying as taxpayers, in a sense, is a hospital system, because they travel, because they are members of families who have people located in different communities. Most of us in the room are in that position. So if people are to get the full value of the system which is there for them, they need to be able to deal with that system and other parts of the health care system on the understanding that data can be shared in the best possible way to support their treatment-always taking, of course, precautions on disclosure.

The third reason sharing is particularly important to us, second only to the patient care, is because it can bring serious efficiencies and cost savings to the system and to the taxpayers. The avoidance of repetitive testing and, again, the real costs of transfers of people are both areas where if we can get a better system of sharing data, with all the obvious safeguards that are necessary, we can achieve better patient care, we can provide better system service to the people of Ontario, and we can probably achieve some cost savings which would otherwise not be possible. So sharing of information has a very positive side to it that I'd like to draw to your attention.

The second issue I'd like to comment briefly on relates to the issue of risk. In recent years there have been a great many developments that affect the actual risks attached to the transfer of information with appropriate safeguards. The first is that with computer systems and new encryption technology we can achieve, we think, the transfer of patients' data back and forth between hospitals and other health care providers with degrees of safety and access that probably would have been unknown several years ago. That is a very important, very recent technological development that has profound significance for this debate.

The second thing I'd like to draw to your attention is that the present systems of storing and transferring data have risks of their own attached to them and we need to understand them. If you think to your own personal experience of the number of times you walk into offices of any kind, wherever you see paper filing systems and complex procedures surrounding them, you see a risk of inadvertent access. If we can modernize the system, move to more advanced technology and share it more safely, in many cases that will actually provide a higher level of protection to patient data, not less.

The final area in which we think the risks attached to this have been to some extent illuminated relates to what other organizations in society have been able to achieve. If you think, for example, of financial institutions, very large volumes of vitally important, highly personal data are shifted around the systems under very explicit protocols with relatively few-and in thinking of the media in Toronto in recent years, almost none-real problems that have arisen of a profound nature that have merited a major social debate arising from that.

So in summary, there are major opportunities here to actually improve patient care, get costs under control, and improve and reduce patient discomfort, and we think the risks are different from what they were a few years ago.

I'd like to just enlarge on a comment that Frank made in relation to the consent act. On the way out the door as we came here, our internal counsel mentioned to me that she had been present and very much involved in the consent act the last time the government either reviewed it or passed it; I'm not sure exactly what the detail of that was. But she did indicate that the OHA had worked with the government on 200 amendments. If it is necessary to expend that kind of effort to get a good act which you as legislators feel balances the risks and which everyone involved feels really moves us forward in terms of both patient care and privacy, that's the effort we'll put in. The devil in this kind of thing is often in the details. If for this legislation we have the opportunity over the next few weeks and months-which we certainly hope we will-we'll put in enough effort to deal with the 200 or 500 amendments or issues in order to move forward as a society on this vital issue.

Thank you.

The Chair: Thank you very much. That leaves us about three and a half minutes per caucus, and this time we'll begin with Mrs Pupatello.

Mrs Pupatello: Thanks so much for coming today to speak with us.

Of the 200 amendments that the OHA presented to the Minister of Health, how many of those are included in this bill?

Mr MacKinnon: I'm sorry. I was referring to another piece of legislation on an earlier occasion. I was not referring specifically, in using that number of 200, to this particular bill. There are, though, many issues, as both Mr Norman and Mr MacKenzie have commented, where we would really want to work through the detail on it. All I was really indicating was that if that's what it takes, to work with 200 or 500 possible changes or separate discussions, that's what we would do.

Mrs Pupatello: There were some key areas that you had expressed interest in that did not appear in this bill?

Mr MacKinnon: It's a very complicated bill, and many of the areas that we are concerned about and would like to discuss further are included in the bill. There almost certainly would be several things that we would want to talk to the committee about at a later point, but we believe the bill, on balance, addresses or puts an overall infrastructure or structure along health information that is a significant step forward. I think there are literally hundreds of issues of omission, of perhaps commission, of things that maybe we haven't even thought of at this point and that would probably be necessary in the later stages, but we hope we will have the opportunity to have that discussion.

Mr Norman: Perhaps I could add to that from a different point of view. In the situation which has been occurring with the individual in the Hamilton hospital who has a medical condition that we're still having difficulty diagnosing-although she is improving, thank God-this particular piece of legislation at the moment has within it as an unintended consequence the fact that the Hamilton hospital concerned would be unable to consult either to Winnipeg or to Atlanta, Georgia, to the centres for disease control, unless they in fact had similar legislation in place which would guarantee the same privacy of information. This does place us in an interesting position when one starts to attempt to work on that.

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Another aspect deals with technology. The technology exists at the moment whereby we can do scans of various natures, be they MRIs or CAT scans or others, in one place and have somebody interpret them in another place, which can be some miles apart, and some considerable amount of miles apart. As long as they're part of the regulated health professionals, obviously certain things happen, but they won't all be. We will within the next three to four years be seeing a great deal more of the consultative work being done at long distance, and in order to do that we need to transfer information.

Mrs McLeod: Can I raise an issue directly related to that, then? There are a lot of issues we'd love to discuss with you, including the concerns around directed disclosures, but specifically on the ability to transfer information, I think the first instance you mentioned might be addressable in terms of not using personally identifiable information. But setting that aside for a minute, the second instance where you want to be able to share information with other health providers, as Mr MacKenzie mentioned, or to provide for some treatment options at a distance through technology raises a concern about the lockbox. As we get into this process of looking at amendments, one of the dangers is that things were put into this legislation because people had a concern about it; now there are amendment proposals to put things back in, like the lockbox that's a recommendation of the privacy commissioner. If you were saying to people, "We need your consent to share information with other health providers," do you think they would not grant that consent except in really unusual circumstances, and why would they not be given that choice, in any event, when it's their own risk that they're taking?

Mr MacKenzie: Let me just make a quick comment about the lockbox, which I think is a dangerous provision. I think it does put patient care at risk and it puts health care professionals at risk. I'll be glad to elaborate more about that, but I want to get back to your prime issue with regard to consent.

I think the vast majority of people would be pleased to consent. The problem is that I have approximately 600,000 patients in one form or another whom I see every year in my organization, and to collect another 600,000 consents, and maybe more, is logistically a bit of a challenge at the moment. Not that we shouldn't be thinking it through, but it's not immediately obvious how to do it.

Mrs McLeod: They can't sign a consent as they come in as part of the admission? That's not reasonable?

Mr MacKenzie: There can be an argument made whether that is in fact the appropriate time because is it free and informed consent when you're on your way in? Maybe yes, but maybe not quite yes. Those are the types of issues that I think we need to think about a little more carefully.

Mr Norman: This is, I suggest, the sort of detail that David was talking about at the end, of the need to be able to come together and literally work through each of these items to make sure that the unintended consequences, which were not in the minds of those who drafted the bill, can in fact be examined in order to put the privacy of the individual-and I have no doubt about this, we would not be here if it were any other way-ahead of all the other needs. But we do need to have those other needs very clearly debated, and on occasion we may well need to change that balance slightly.

Ms Lankin: I wish we had considerably more time; there are a lot of specific questions I would like to ask. But let me then go to the process of where we go from here, because we're drawing to the end of these committee hearings and I'm concerned about how this bill makes it to law at some point in time, how we have a health information privacy legal framework in the province of Ontario.

We have as a committee given some thought to looking at the proceedings from the last three days, and what we will hear tomorrow, and prioritizing some of the areas that we think we would like to give advice to the ministry on that they address and look at in making some changes, seeing where there's some consensus among us as legislators from what we have heard, and hoping that we can have a discussion with the ministry that would facilitate some redrafting of the legislation. Where it goes from there is a question. I put to you one possible scenario: that the ministry goes away and, based on all of the very valuable input, the technical advice that's been given here, they do a redraft and a new draft bill comes out. Then we can sit down and have the detailed consultation with people that you're proposing.

I remember the 200 suggestions from the OHA on the consent legislation, and it's a better law because of it, David, absolutely. Have you given any thought to the consultation process and/or, if not today, offering what you can? Would you make some recommendations to the committee and then in the near future with what you think should happen to the bill?

Mr MacKinnon: I would think that if the committee could produce a report outlining areas of consensus, or otherwise, that would really help clarify the issues for the later process, which I think should be very much as you outline. It would be really useful to us in terms of making the suggestions that we would want to make to the Ministry of Health to have a useful report from this committee that reflects all the testimony you've heard. I think I can safely say we would greatly welcome that.

Mr Wood: Number one, I'd like to thank you very much for the very generous offer of help, which will be taken up by the ministry. I thank you for that. I gather from what you said that you favour one regime for health privacy information protection in Ontario. Is that a yes?

Mr MacKenzie: Yes.

Mr Wood: As you probably don't know, I'm a lawyer by trade, and over the last 11 years electronic information processing has quite literally revolutionized my profession. Do you see the same kind of impact on hospitals?

Mr MacKenzie: Yes, a million times over, which is one of David's favourite topics.

Ms Lankin: Careful. He has a 45-minute speech on this.

Mr Wood: You've got 10 seconds.

Mr MacKinnon: We think the path to the future for better patient care, better patient privacy and a more sustainable system relates to technology, its early adaption, its creative use and its respectful application to health care. There are just huge possibilities before us. That's one of the reasons why we attach so much importance to this. If we do not modernize our capacity to use new technologies by making whatever appropriate adjustments to the legislative provisions respecting privacy, I think we'll have real difficulty in moving to the system of the future, and the future of the system is very much more technological than the past.

Mr Wood: Could I ask you a bit about the lockbox? I gather you do not like the lockbox as a concept, and I wonder if you can explain to us why that's the case.

Mr MacKinnon: I'll just turn that back to Murray.

Mr MacKenzie: I'll make a comment or two. To have information that is not available to health care professionals who are charged with the responsibility of providing care creates almost an impossible situation. There are huge residual issues related to liability for the care provided when the information is being withheld. I think it's simply inappropriate and unrealistic to expect that-although consumers are certainly much more informed than they've ever been, they in many cases will not understand the full significance of withholding that information. They are not health care professionals.

Mr Wood: I'd like to turn briefly to the question of consent. Where the current draft requires informed consent as opposed to plain consent, have you addressed your minds to the issue of whether or not that would create any problems and what the implications are of asking for informed consent as opposed to simply plain consent?

Mr Norman: I wonder if I could put that question to Deborah, who's been looking at a number of these things in the detail that you would like as a lawyer to have back as an answer, but she doesn't get too long to say it.

Ms Deborah Tarshis: I think, in fairness, that is not an issue we have focused on in detail. There are other of the broader issues that are addressed in the submission that have been focused on. That certainly is an issue that we would like to focus on more specifically.

Mr Wood: Can we invite you to do that and perhaps give us the benefit of your observations once you've done that?

Ms Tarshis: We would be pleased to do it.

The Chair: Thank you all for coming before us here today and ending today's session. We appreciate your submission.

Mr Norman: Thank you for the opportunity to be here. Good luck as you do tomorrow. We look to the recommendations that will, I think, very much aid in clarifying some of the issues which need to be addressed.

The Chair: Just a reminder to committee members, we are starting tomorrow morning with video conferencing to accommodate submissions from people who were not in the GTA. We will be starting sharp at 9 o'clock and we will be in room 151.

If there's nothing else for the committee, we stand recessed until 9 o'clock.

The committee adjourned at 1751.